Investment fund ACTIUNI EUROPA REGIONAL
Transcription
Investment fund ACTIUNI EUROPA REGIONAL
Monthly informative bulletin: 31-Jan-14 Investment fund ACTIUNI EUROPA REGIONAL Actiuni Europa Regional is authorized by CNVM Decision no. 1714 / 27.08.2008 and registered in CNVM Registry under no. CSC06FDIR/400057 Investment policy The Fund is described as diversified. Usually up to 90% of fund assets will be invested in stock markets. The Fund financial performance is likely to be influenced by the evolution of the domestic and foreign environment, especially of the stock market, as well as the interest rate evolution, for medium and long term. Depositary: BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00, Localization Metav: Str. Bihar No :67-77, S: 1, Bucharest Tel: 021.200.83.77 Administration objectives Distributor: BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00 The Fund objective represents the strive to achieve an active valorization of collected resources, over a period of time longer than the minimum recommended duration of placement. Information about Actiuni Europa Regional Portfolio Asset Mix Net Asset date: Launch date Net Asset Value-mil. RON NAV/unit-RON Nr of investors Risk category Deposits (incl.O/N) 13.09% Equity CEE 40.70% 31-Jan-14 19-Mar-09 16.49 136.85 105 5 (Medium - High) Equity RO 46.21% Performance 2009 (19.03) Performance % 9.40% 2010 9.94% 2011 -14.48% 2012 20.07% Annualised Performance% 25.00% 15.00% 9.40% 10.00% Last 1m -1.75% Last 3 m -1.75% Last 6 m 1.22% VUAN 130.00 120.00 0.00% 31-Dec-09 31-Dec-10 31-Dec-11 Shares 115.00 105.00 -14.48% -20.00% Top 5 holdings of shares on 31-Dec-13 110.00 -10.00% -15.00% 31-Dec-12 31-Jan-14 Percentage Fondul Proprietatea 7.83% Banca Transilvania 7.29% SNP Petrom 6.44% BRD Groupe Societe Generale 6.23% ERSTE Bank 5.53% 10.77% Last 1y 9.36% Since inceptio n 20.29% 36.84% Last 2y Evolution of net asset value per unit (NAV) for Actiuni Europa Regional 125.00 5.00% -5.00% 2014YTD 135.00 12.79% 9.94% 12.79% 140.00 20.07% 20.00% 2013 100.00 Fees: Subscription* 2.5% Redemption 0% *for subscriptions more than 10,000 RON fee is negotiable BRD Asset Management is authorized by the CNVM decision no 35/10.01.2008, No CNVM Register: PJR05SAIR/400010. Address: Str. Clucerul Udricani, No.1-3, bl.106A, floor, section 2, S 3, Bucharest / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, Email: [email protected] Written notification in the register of personal data processing under no. 23680. Previous performance does not guarantee the future performance. Please read carefully the prospectus before investing in this fund. Monthly informative bulletin: 28-Feb-14 Investment fund ACTIUNI EUROPA REGIONAL Actiuni Europa Regional is authorized by CNVM Decision no. 1714 / 27.08.2008 and registered in CNVM Registry under no. CSC06FDIR/400057 Investment policy The Fund is described as diversified. Usually up to 90% of fund assets will be invested in stock markets. The Fund financial performance is likely to be influenced by the evolution of the domestic and foreign environment, especially of the stock market, as well as the interest rate evolution, for medium and long term. Depositary: Administration objectives Distributor: The Fund objective represents the strive to achieve an active valorization of collected resources, over a period of time longer than the minimum recommended duration of placement. BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00 BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00, Localization Metav: Str. Bihar No :67-77, S: 1, Bucharest Tel: 021.200.83.77 Portfolio Asset Mix Information about Actiuni Europa Regional Deposits (incl.O/N) 12.88% Net Asset date: 28-Feb-14 Launch date 19-Mar-09 Net Asset Value-mil. RON 16.72 NAV/unit-RON 138.69 Nr of investors Equity CEE 41.09% 106 Risk category 5 (Medium - High) Equity RO 46.03% Performance 2009 (19.03) Performance % 9.40% 2010 9.94% 2011 -14.48% 2012 20.07% Annualised Performance% 25.00% 15.00% 10.00% 9.40% -0.43% Last 3 m 1.34% Last 6 m -0.32% VUAN 135 130 125 120 0.00% 31-Dec-09 31-Dec-10 31-Dec-11 -14.48% -20.00% Top 5 holdings of shares on Shares 31-Dec-13 115 110 -10.00% -15.00% 31-Dec-12 28-Feb-14 Percentage Banca Transilvania 8.15% Fondul Proprietatea 7.21% BRD Groupe Societe Generale 6.31% Petrom 5.98% Romgaz 5.46% 7.90% Last 1y 105 100 Fees: Subscription* Redemption 2.5% 0% *for subscriptions more than 10,000 RON fee is negotiable BRD Asset Management is authorized by the CNVM decision no 35/10.01.2008, No CNVM Register: PJR05SAIR/400010. Address: Str. Clucerul Udricani, No.1-3, bl.106A, floor, section 2, S 3, Bucharest / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, Email: [email protected] Written notification in the register of personal data processing under no. 23680. Previous performance does not guarantee the future performance. Please read carefully the prospectus before investing in this fund. Since inceptio n 17.12% 38.68% Last 2y 10.81% Evolution of net asset value per unit (NAV) for Actiuni Europa Regional 140 5.00% -5.00% 12.79% Last 1m 145 12.79% 9.94% 2014YTD 150 20.07% 20.00% 2013 Monthly informative bulletin: 31-Mar-14 Investment fund ACTIUNI EUROPA REGIONAL Actiuni Europa Regional is authorized by CNVM Decision no. 1714 / 27.08.2008 and registered in CNVM Registry under no. CSC06FDIR/400057 Investment policy The Fund is described as diversified. Usually up to 90% of fund assets will be invested in stock markets. The Fund financial performance is likely to be influenced by the evolution of the domestic and foreign environment, especially of the stock market, as well as the interest rate evolution, for medium and long term. Depositary: Administration objectives Distributor: The Fund objective represents the strive to achieve an active valorization of collected resources, over a period of time longer than the minimum recommended duration of placement. BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00 BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00, Localization Metav: Str. Bihar No :67-77, S: 1, Bucharest Tel: 021.200.83.77 Portfolio Asset Mix Information about Actiuni Europa Regional Deposits (incl.O/N) 15.40% Net Asset date: 31-Mar-14 Launch date 19-Mar-09 Net Asset Value-mil. RON 16.33 NAV/unit-RON Equity CEE 38.77% 135.45 Nr of investors 106 Risk category 5 (Medium - High) Equity RO 45.83% Performance 2009 (19.03) 2010 Performance % 9.40% 9.94% 2011 -14.48% 2012 20.07% 2013 2014YTD 12.79% Annualised Performance% 150 25.00% 15.00% 10.00% 9.40% -2.76% VUAN 135 125 120 0.00% 31-Dec-09 31-Dec-10 31-Dec-11 -14.48% -20.00% Top 5 holdings of shares on Shares 31-Dec-13 115 110 -10.00% -15.00% 31-Dec-12 31-Mar-14 Percentage Banca Transilvania 8.23% Fondul Proprietatea 7.50% BRD Groupe Societe Generale 6.06% Petrom 5.76% Romgaz 5.52% 2.46% Last 1y 105 100 Fees: Subscription* Redemption 2.5% 0% *for subscriptions more than 10,000 RON fee is negotiable BRD Asset Management is authorized by the CNVM decision no 35/10.01.2008, No CNVM Register: PJR05SAIR/400010. Address: Str. Clucerul Udricani, No.1-3, bl.106A, floor, section 2, S 3, Bucharest / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, Email: [email protected] Written notification in the register of personal data processing under no. 23680. Previous performance does not guarantee the future performance. Please read carefully the prospectus before investing in this fund. Since inceptio n 14.63% 35.44% Last 2y 10.68% Evolution of net asset value per unit (NAV) for Actiuni Europa Regional 130 5.00% -5.00% -2.34% 140 12.79% 9.94% -2.76% Last 6 m 145 20.07% 20.00% Last 3 m Last 1m Monthly informative bulletin: 30-Apr-14 Investment fund ACTIUNI EUROPA REGIONAL Actiuni Europa Regional is authorized by CNVM Decision no. 1714 / 27.08.2008 and registered in CNVM Registry under no. CSC06FDIR/400057 Investment policy The Fund is described as diversified. Usually up to 90% of fund assets will be invested in stock markets. The Fund financial performance is likely to be influenced by the evolution of the domestic and foreign environment, especially of the stock market, as well as the interest rate evolution, for medium and long term. Depositary: Administration objectives Distributor: The Fund objective represents the strive to achieve an active valorization of collected resources, over a period of time longer than the minimum recommended duration of placement. BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00 BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00, Localization Metav: Str. Bihar No :67-77, S: 1, Bucharest Tel: 021.200.83.77 Portfolio Asset Mix Information about Actiuni Europa Regional Deposits (incl.O/N) 13.04% Net Asset date: 30-Apr-14 Launch date 19-Mar-09 Net Asset Value-mil. RON 16.39 NAV/unit-RON Equity CEE 40.62% 135.92 Nr of investors 106 Risk category 5 (Medium - High) Equity RO 46.33% Performance 2009 (19.03) 2010 Performance % 9.40% 9.94% 2011 -14.48% 2012 20.07% 2013 2014YTD 12.79% Annualised Performance% Last 1m -2.42% Last 3 m 0.35% Last 6 m -0.68% 145 25.00% 20.07% 140 20.00% 12.79% 10.00% 9.40% 9.94% 130 125 5.00% 120 0.00% ‐5.00% VUAN 135 31‐Dec‐09 31‐Dec‐10 31‐Dec‐11 Top 5 holdings of shares on 115 105 ‐14.48% 100 ‐20.00% Shares 31‐Dec‐13 110 ‐10.00% ‐15.00% 31‐Dec‐12 30-Apr-14 Percentage Banca Transilvania 8.53% Fondul Proprietatea 6.84% Petrom 6.06% BRD GSG 6.07% Romgaz 5.81% Fees: Subscription* Redemption 2.5% 0% *for subscriptions more than 10,000 RON fee is negotiable BRD Asset Management is authorized by the CNVM decision no 35/10.01.2008, No CNVM Register: PJR05SAIR/400010. Address: Str. Clucerul Udricani, No.1-3, bl.106A, floor, section 2, S 3, Bucharest / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, Email: [email protected] Written notification in the register of personal data processing under no. 23680. Previous performance does not guarantee the future performance. Please read carefully the prospectus before investing in this fund. Since inceptio n 16.92% 35.91% Last 2y 13.86% Evolution of net asset value per unit (NAV) for Actiuni Europa Regional 150 15.00% 0.53% Last 1y Monthly informative bulletin: 31-May-14 Investment fund ACTIUNI EUROPA REGIONAL Actiuni Europa Regional is authorized by CNVM Decision no. 1714 / 27.08.2008 and registered in CNVM Registry under no. CSC06FDIR/400057 Investment policy The Fund is described as diversified. Usually up to 90% of fund assets will be invested in stock markets. The Fund financial performance is likely to be influenced by the evolution of the domestic and foreign environment, especially of the stock market, as well as the interest rate evolution, for medium and long term. Depositary: Administration objectives Distributor: The Fund objective represents the strive to achieve an active valorization of collected resources, over a period of time longer than the minimum recommended duration of placement. BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00 BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00, Localization Metav: Str. Bihar No :67-77, S: 1, Bucharest Tel: 021.200.83.77 Portfolio Asset Mix Information about Actiuni Europa Regional Deposits (incl.O/N) 15.85% Net Asset date: 31-May-14 Launch date 19-Mar-09 Net Asset Value-mil. RON 17.04 NAV/unit-RON 141.36 Nr of investors Equity CEE 44.45% 105 Risk category 5 (Medium - High) Equity RO 39.70% Performance 2009 (19.03) 2010 Performance % 9.40% 9.94% 2011 -14.48% 2012 20.07% 2013 2014YTD 12.79% Last 1m 1.49% Last 3 m 4.00% Last 6 m 1.93% 146 25.00% 20.07% 20.00% 10.00% 12.79% 9.40% 136 9.94% 126 5.00% 0.00% ‐5.00% 31‐Dec‐09 31‐Dec‐10 31‐Dec‐11 ‐10.00% ‐15.00% ‐20.00% 31‐Dec‐12 1.60% Evolution of net asset value per unit (NAVPU) for Actiuni Europa Regional Annualised Performance% 15.00% Last 1y 31‐Dec‐13 116 106 ‐14.48% 96 Fees: Subscription* Redemption 2.5% 0% *for subscriptions more than 10,000 RON fee is negotiable BRD Asset Management is authorized by the CNVM decision no 35/10.01.2008, No CNVM Register: PJR05SAIR/400010. Address: Str. Clucerul Udricani, No.1-3, bl.106A, floor, section 2, S 3, Bucharest / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, Email: [email protected] Written notification in the register of personal data processing under no. 23680. Previous performance does not guarantee the future performance. Please read carefully the prospectus before investing in this fund. 13.33% Since inceptio n 35.17% 41.35% Last 2y Monthly informative bulletin: 30-Jun-14 Investment fund ACTIUNI EUROPA REGIONAL Actiuni Europa Regional is authorized by CNVM Decision no. 1714 / 27.08.2008 and registered in CNVM Registry under no. CSC06FDIR/400057 Investment policy The Fund is described as diversified. Usually up to 90% of fund assets will be invested in stock markets. The Fund financial performance is likely to be influenced by the evolution of the domestic and foreign environment, especially of the stock market, as well as the interest rate evolution, for medium and long term. Depositary: Administration objectives Distributor: The Fund objective represents the strive to achieve an active valorization of collected resources, over a period of time longer than the minimum recommended duration of placement. BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00 BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00, Localization Metav: Str. Bihar No :67-77, S: 1, Bucharest Tel: 021.200.83.77 Portfolio Asset Mix Information about Actiuni Europa Regional Net Asset date: 30.iun.14 Launch date Deposits (incl.O/N) 14,78% 19-Mar-09 Net Asset Value-mil. RON 17,19 NAV/unit-RON 142,63 Nr of investors Equity CEE 47,24% 105 Risk category 5 (Medium - High) Equity RO 37,98% Performance 2009 (19.03) 2010 Performance % 9,40% 9,94% 2011 -14,48% 2012 20,07% 2013 2014YTD 12,79% Last 1m 2,40% 0,90% 20,07% 20,00% 15,00% 12,79% 9,40% 126 0,00% 31-Dec-09 31-Dec-10 31-Dec-11 -10,00% -20,00% 136 9,94% 5,00% -15,00% 5,30% 146 25,00% -5,00% Last 6 m 31-Dec-12 31-Dec-13 116 106 -14,48% Last 1y 2,40% Evolution of net asset value per unit (NAVPU) for Actiuni Europa Regional Annualised Performance% 10,00% Last 3 m 96 Fees: Subscription* Redemption 2,5% 0% *for subscriptions more than 10,000 RON fee is negotiable BRD Asset Management is authorized by the CNVM decision no 35/10.01.2008, No CNVM Register: PJR05SAIR/400010. Address: Str. Clucerul Udricani, No.1-3, bl.106A, floor, section 2, S 3, Bucharest / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, Email: [email protected] Written notification in the register of personal data processing under no. 23680. Previous performance does not guarantee the future performance. Please read carefully the prospectus before investing in this fund. 17,66% Since inceptio n 29,96% 42,62% Last 2y Monthly informative bulletin: 31-Jul-14 Investment fund ACTIUNI EUROPA REGIONAL Actiuni Europa Regional is authorized by CNVM Decision no. 1714 / 27.08.2008 and registered in CNVM Registry under no. CSC06FDIR/400057 Investment policy The Fund is described as diversified. Usually up to 90% of fund assets will be invested in stock markets. The Fund financial performance is likely to be influenced by the evolution of the domestic and foreign environment, especially of the stock market, as well as the interest rate evolution, for medium and long term. Depositary: Administration objectives Distributor: The Fund objective represents the strive to achieve an active valorization of collected resources, over a period of time longer than the minimum recommended duration of placement. BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00 BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00, Localization Metav: Str. Bihar No :67-77, S: 1, Bucharest Tel: 021.200.83.77 Portfolio Asset Mix Information about Actiuni Europa Regional Net Asset date: 31-Jul-14 Launch date Deposits (incl.O/N) 15.97% 19-Mar-09 Net Asset Value-mil. RON Equity CEE 48.49% 17.57 NAV/unit-RON 139.58 Nr of investors 108 Risk category 5 (Medium - High) Equity RO 35.54% Performance 2009 (19.03) 2010 Performance % 9.40% 9.94% 2011 2012 -14.48% 20.07% 2013 2014YTD 12.79% 0.21% Last 3 m Last 1m -2.14% Last 6 m 2.69% 146 25.00% 20.07% 20.00% 12.79% 9.40% 10.00% 136 9.94% 126 5.00% 0.00% ‐5.00% 31‐Dec‐09 31‐Dec‐10 31‐Dec‐11 ‐10.00% 31‐Dec‐12 31‐Dec‐13 116 106 ‐15.00% ‐14.48% 96 ‐20.00% Fees: Subscription* 2.5% Redemption 0% 1.99% Evolution of net asset value per unit (NAVPU) for Actiuni Europa Regional Annualised Performance% 15.00% Last 1y *for subscriptions more than 10,000 RON fee is negotiable BRD Asset Management is authorized by the CNVM decision no 35/10.01.2008, No CNVM Register: PJR05SAIR/400010. Address: Str. Clucerul Udricani, No.1-3, bl.106A, floor, section 2, S 3, Bucharest / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, Email: [email protected] Written notification in the register of personal data processing under no. 23680. Previous performance does not guarantee the future performance. Please read carefully the Prospectus and Key Investor Information Document before investing in this fund. 12.98% Since inceptio n 22.63% 38.57% Last 2y Monthly informative bulletin: 31-Aug-14 Investment fund ACTIUNI EUROPA REGIONAL Actiuni Europa Regional is authorized by CNVM Decision no. 1714 / 27.08.2008 and registered in CNVM Registry under no. CSC06FDIR/400057 Investment policy The Fund is described as diversified. Usually up to 90% of fund assets will be invested in stock markets. The Fund financial performance is likely to be influenced by the evolution of the domestic and foreign environment, especially of the stock market, as well as the interest rate evolution, for medium and long term. Depositary: Administration objectives Distributor: The Fund objective represents the strive to achieve an active valorization of collected resources, over a period of time longer than the minimum recommended duration of placement. BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00 BRD Groupe Societe Generale, Head Office: Ion Mihalache Blvd. :1-7, S: 1, Bucharest: 021.301.61.00, Localization Metav: Str. Bihar No :67-77, S: 1, Bucharest Tel: 021.200.83.77 Portfolio Asset Mix Information about Actiuni Europa Regional Deposits (incl.O/N) 14.22% Net Asset date: 31-Aug-14 Launch date 19-Mar-09 Net Asset Value-mil. RON Equity CEE 48.60% 17.91 NAV/unit-RON 142.27 Nr of investors 108 Risk category 5 (Medium - High) Equity RO 37.18% Performance 2009 (19.03) 2010 Performance % 9.40% 9.94% 2011 2012 -14.48% 20.07% 2013 2014YTD 12.79% 2.14% Last 3 m Last 1m 1.93% Last 6 m 0.64% 146 25.00% 20.07% 20.00% 12.79% 9.40% 10.00% 136 9.94% 126 5.00% 0.00% ‐5.00% 31‐Dec‐09 31‐Dec‐10 31‐Dec‐11 ‐10.00% 31‐Dec‐12 31‐Dec‐13 116 106 ‐15.00% ‐14.48% 96 ‐20.00% Fees: Subscription* 2.5% Redemption 0% 2.58% Evolution of net asset value per unit (NAVPU) for Actiuni Europa Regional Annualised Performance% 15.00% Last 1y *for subscriptions more than 10,000 RON fee is negotiable BRD Asset Management is authorized by the CNVM decision no 35/10.01.2008, No CNVM Register: PJR05SAIR/400010. Address: Str. Clucerul Udricani, No.1-3, bl.106A, floor, section 2, S 3, Bucharest / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, Email: [email protected] Written notification in the register of personal data processing under no. 23680. Previous performance does not guarantee the future performance. Please read carefully the Prospectus and Key Investor Information Document before investing in this fund. 10.68% Since inceptio n 22.26% 41.26% Last 2y Monthly Newsletter Acțiuni Europa Regional Investment policy Fund objective Advantages for investors Aims to invest mainly in shares admitted to trading on the CEE markets (Romania, Poland, Czech Republic, Hungary), as well as in financial instruments with a high degree of liquidity. Achieving financial performance, by investing the collected resources mainly in shares on the CEE and Romanian markets, as well as in bank deposits, securities issued or guaranteed by the Romanian government. Diversifying the investments: The Fund assets are invested on the Romanian stock markets, as well as on the ones from Central and Eastern Europe, by delegating the investment management activity to IKS-KB. Accessibility to the international stock markets, in accordance with the ASF regulations and the fund documents. Informations about the fund Net Asset Date Launch date Net Asset Value-mil. RON Evolution of net asset valuer per Unit since inseption Portofolio Asset Mix 30-Sep-14 19-03-2009 160 140 120 100 18,459,033.60 NAV/unit-RON 144.26 Nr of investors 109 Risk category Yields: Investing into shares with growth potential and attractive dividends from European and local markets, but linked with taking on a higher risk. Deposits (incl ON) Performance% 16.08% 0.00 % Source: BRD Asset Management 20.00% 40.00% 60.00% Source: BRD Asset Management Performance Period 35.26% Equity Ro 80 5 (Medium-High) Source: BRD Asset Management 48.67% Equity CEE Fees Last 1m Last 3m Last 6m Last 1y Since inception 1.40% 1.14% 6.50% 9.12% 44.25% Subscription* Redemption 2.5% 0% *for subscriptions more than 10,000 RON fee is negotiable Source: BRD Asset Management Actiuni Europa Regional- Nr. Registru CNVM CSC06FDIR/400057 prin Decizia Nr. 1714/13.05.2008 BRD Asset Management S.A.I este autorizată prin decizia CNVM nr. 35 din 11.01.2008 şi înscrisă în Reg. CNVM sub nr.PJR05SAIR/400010. Notificare înscrisă în registrul de evidenă a prelucrărilor de date cu caracter personal sub nr. 23680. Depozitar: BRD-Groupe Société Générale Sediul Central: Bd. Ion Mihalache nr. 1-7, sector 1, Bucuresti Tel: 0213016100 Sediul Metav: Str. Biharia nr. 67-77, Sector 1, Bucuresti Tel: 0212008377 Adresa Str. Clucerul Udricani, nr.1-3,bl.106A, parter, tronson 2, S: 3, Bucureşti / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, E-mail: [email protected] Performanţele anterioare ale fondului nu reprezintă o garanţie a realizărilor viitoare. Cititi prospectul de emsiune si informatiile cheie destinate investitorilor, prevazute la art.98 din OUG 32/2012, inainte de a investi in acest fond. www.brdam.ro Monthly Newsletter Acțiuni Europa Regional Investment policy Fund objective Advantages for investors Aims to invest mainly in shares admitted to trading on the CEE markets (Romania, Poland, Czech Republic, Hungary), as well as in financial instruments with a high degree of liquidity. Achieving financial performance, by investing the collected resources mainly in shares on the CEE and Romanian markets, as well as in bank deposits, securities issued or guaranteed by the Romanian government. Diversifying the investments: The Fund assets are invested on the Romanian stock markets, as well as on the ones from Central and Eastern Europe, by delegating the investment management activity to IKS-KB. Accessibility to the international stock markets, in accordance with the ASF regulations and the fund documents. Informations about the fund Net Asset Date Launch date Net Asset Value-mil. RON Evolution of net asset valuer per Unit since inseption Portofolio Asset Mix Source: BRD Asset Management Source: BRD Asset Management 31-Oct-14 19-Mar-2009 18.13 NAV/unit-RON 141.56 Nr of investors 110 Risk category Yields: Investing into shares with growth potential and attractive dividends from European and local markets, but linked with taking on a higher risk. 5 (Medium-High) Source: BRD Asset Management Performance Period Performance% Fees Last 1m Last 3m Last 6m Last 1y Since inception -1.87% 1.42% 4.15% 4.70% 41.55% Subscription* Redemption 2.5% 0% *for subscriptions more than 10,000 RON fee is negotiable Source: BRD Asset Management Actiuni Europa Regional- Nr. Registru CNVM CSC06FDIR/400057 prin Decizia Nr. 1714/13.05.2008 BRD Asset Management S.A.I este autorizată prin decizia CNVM nr. 35 din 11.01.2008 şi înscrisă în Reg. CNVM sub nr.PJR05SAIR/400010. Notificare înscrisă în registrul de evidenă a prelucrărilor de date cu caracter personal sub nr. 23680. Depozitar: BRD-Groupe Société Générale Sediul Central: Bd. Ion Mihalache nr. 1-7, sector 1, Bucuresti Tel: 0213016100 Sediul Metav: Str. Biharia nr. 67-77, Sector 1, Bucuresti Tel: 0212008377 Adresa Str. Clucerul Udricani, nr.1-3,bl.106A, parter, tronson 2, S: 3, Bucureşti / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, E-mail: [email protected] Performanţele anterioare ale fondului nu reprezintă o garanţie a realizărilor viitoare. Cititi prospectul de emsiune si informatiile cheie destinate investitorilor, prevazute la art.98 din OUG 32/2012, inainte de a investi in acest fond. www.brdam.ro Monthly Newsletter Acțiuni Europa Regional Investment policy Fund objective Advantages for investors Aims to invest mainly in shares admitted to trading on the CEE markets (Romania, Poland, Czech Republic, Hungary), as well as in financial instruments with a high degree of liquidity. Achieving financial performance, by investing the collected resources mainly in shares on the CEE and Romanian markets, as well as in bank deposits, securities issued or guaranteed by the Romanian government. Diversifying the investments: The Fund assets are invested on the Romanian stock markets, as well as on the ones from Central and Eastern Europe, by delegating the investment management activity to IKS-KB. Accessibility to the international stock markets, in accordance with the ASF regulations and the fund documents. Informations about the fund Net Asset Date Launch date Net Asset Value-mil. RON Evolution of net asset valuer per Unit since inseption Portofolio Asset Mix Source: BRD Asset Management Source: BRD Asset Management 30-Nov-14 19-Mar-2009 18.14 NAV/unit-RON 140.97 Nr of investors 112 Risk category Yields: Investing into shares with growth potential and attractive dividends from European and local markets, but linked with taking on a higher risk. 5 (Medium-High) Source: BRD Asset Management Performance Period Performance% Fees Last 1m Last 3m Last 6m Last 1y Since inception -0.42% -0.91% -0.28% 1.32% 40.96% Subscription* Redemption 2.5% 0% *for subscriptions more than 10,000 RON fee is negotiable Source: BRD Asset Management Actiuni Europa Regional- Nr. Registru CNVM CSC06FDIR/400057 prin Decizia Nr. 1714/13.05.2008 BRD Asset Management S.A.I este autorizată prin decizia CNVM nr. 35 din 11.01.2008 şi înscrisă în Reg. CNVM sub nr.PJR05SAIR/400010. Notificare înscrisă în registrul de evidenă a prelucrărilor de date cu caracter personal sub nr. 23680. Depozitar: BRD-Groupe Société Générale Sediul Central: Bd. Ion Mihalache nr. 1-7, sector 1, Bucuresti Tel: 0213016100 Sediul Metav: Str. Biharia nr. 67-77, Sector 1, Bucuresti Tel: 0212008377 Adresa Str. Clucerul Udricani, nr.1-3,bl.106A, parter, tronson 2, S: 3, Bucureşti / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, E-mail: [email protected] Performanţele anterioare ale fondului nu reprezintă o garanţie a realizărilor viitoare. Cititi prospectul de emsiune si informatiile cheie destinate investitorilor, prevazute la art.98 din OUG 32/2012, inainte de a investi in acest fond. www.brdam.ro Monthly Newsletter Acțiuni Europa Regional Investment policy Fund objective Advantages for investors Aims to invest mainly in shares admitted to trading on the CEE markets (Romania, Poland, Czech Republic, Hungary), as well as in financial instruments with a high degree of liquidity. Achieving financial performance, by investing the collected resources mainly in shares on the CEE and Romanian markets, as well as in bank deposits, securities issued or guaranteed by the Romanian government. Diversifying the investments: The Fund assets are invested on the Romanian stock markets, as well as on the ones from Central and Eastern Europe, by delegating the investment management activity to IKS-KB. Accessibility to the international stock markets, in accordance with the ASF regulations and the fund documents. Informations about the fund Net Asset Date 31-Dec-14 Launch date 19-Mar-09 Net Asset Value-mil. RON Evolution of net asset valuer per Unit since inseption Portofolio Asset Mix Source: BRD Asset Management Source: BRD Asset Management 17.89 NAV/unit-RON 139.29 Nr of investors 112 Risk category Yields: Investing into shares with growth potential and attractive dividends from European and local markets, but linked with taking on a higher risk. 5 (Medium-High) Source: BRD Asset Management Performance Period Performance% Fees Last 1m Last 3m Last 6m Last 1y Since inception -1.19% -3.45% -2.34% 0.00% 39.28% Subscription* Redemption 2.5% 0% *for subscriptions more than 10,000 RON fee is negotiable Source: BRD Asset Management Actiuni Europa Regional- Nr. Registru CNVM CSC06FDIR/400057 prin Decizia Nr. 1714/13.05.2008 BRD Asset Management S.A.I este autorizată prin decizia CNVM nr. 35 din 11.01.2008 şi înscrisă în Reg. CNVM sub nr.PJR05SAIR/400010. Notificare înscrisă în registrul de evidenă a prelucrărilor de date cu caracter personal sub nr. 23680. Depozitar: BRD-Groupe Société Générale Sediul Central: Bd. Ion Mihalache nr. 1-7, sector 1, Bucuresti Tel: 0213016100 Sediul Metav: Str. Biharia nr. 67-77, Sector 1, Bucuresti Tel: 0212008377 Adresa Str. Clucerul Udricani, nr.1-3,bl.106A, parter, tronson 2, S: 3, Bucureşti / ROMANIA, Tel: (+ 40 21) 327 22 28, Fax: (+ 40 21) 327 14 10, E-mail: [email protected] Performanţele anterioare ale fondului nu reprezintă o garanţie a realizărilor viitoare. Cititi prospectul de emsiune si informatiile cheie destinate investitorilor, prevazute la art.98 din OUG 32/2012, inainte de a investi in acest fond. www.brdam.ro