Major Shareholding Notification • May 5, 2021
Major Shareholding Notification
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Current report according to Art. 72 paragraph (6) of Law no. 24/2017 on issuers of financial instruments and market operations, as well as the provisions of Art. 105 of the Rulebook of the Bucharest Stock Exchange, Title II – Issuers and Financial Instruments
Disclosure of holdings over 5% of the total voting rights held by Silver Point Luxembourg Platform S.a.r.l., Silver Point Distressed Opportunities Fund, L.P., Silver Point Distressed Opportunities Offshore Master Fund, L.P., Silver Point Distressed Opportunity Institutional Partners, L.P. and Silver Point Distressed Opportunity Institutional Partners (Offshore), L.P. in Fondul Proprietatea S.A.
Franklin Templeton International Services S.À R.L, alternative investment fund manager and sole director of Fondul Proprietatea SA ("Fondul Proprietatea / the Fund"), hereby, announces that Silver Point Luxembourg Platform S.a.r.l., Silver Point Distressed Opportunities Fund, L.P., Silver Point Distressed Opportunities Offshore Master Fund, L.P., Silver Point Distressed Opportunity Institutional Partners, L.P. and Silver Point Distressed Opportunity Institutional Partners (Offshore), L.P. have sent an aggregate disclosure of holdings over 5% of the total voting rights in the Fund, as reflected in the Annex.
According to the disclosure, by virtue of acting in concert, Silver Point Luxembourg Platform S.a.r.l., Silver Point Distressed Opportunities Fund, L.P., Silver Point Distressed Opportunities Offshore Master Fund, L.P., Silver Point Distressed Opportunity Institutional Partners, L.P. and Silver Point Distressed Opportunity Institutional Partners (Offshore), L.P. held together, as of 26 April 2021 ("Report date"), a number of 302,600,000 voting rights, representing 5.07% of the total number of voting rights in Fondul Proprietatea.
Franklin Templeton International Services S.À R.L. in its capacity of alternative investment fund manager and sole director of FONDUL PROPRIETATEA S.A.
Johan MEYER Permanent Representative Report date: 5 May 2021
Name of the issuing entity: Fondul Proprietatea S.A.
Registered office: 78-80 Buzesti Street 7th floor, district 1, Bucharest, 011017
Phone/fax number: Tel.: + 40 21 200 9600 Fax: + 40 21 200 9631
Email: [email protected]
Internet: www.fondulproprietatea.ro
Sole Registration Code with the Trade Register Office: 18253260
Order number in the Trade Register: J40/21901/2005
Subscribed share capital: RON 3,749,282,292.08
Paid-up share capital: RON 3,560,099,870.08
Number of shares in issue: 7,210,158,254
Number of paid shares: 6,846,345,904
Regulated market on which the issued securities are traded: Shares on Bucharest Stock Exchange
GDRs on London Stock Exchange
S.C. FONDUL PROPRIETATEA S.A. INTRARE Nr. IESARI ziuá ( fluna ()
Către/To:
FONDUL PROPRIETATEA S.A. Str. Buzești, nr. 78-80, etaj 7, Bucureşti, Sectorul 1, România J40/21901/2005, CUI 18253260 Fax: +4021-2009631 E-mail: [email protected] LEI code 549300PVO1VWBFH3DO07
AUTORITATEA DE SUPRAVEGHERE FINANCIARĂ Splaiul Independenţei nr. 15, sector 5, 050092, Bucureşti, România Fax : 021.659.60.51 / 021.659.64.36 E-mail : [email protected]
(conform art. 69, alin. 1 din Legea 24/2017 și Anexa 18 din Regulamentul ASF 5/2018 as per art. 69, par. 1 of Law 24/2017 and Annex 18 of ASF Regulation 5/2018)
| 1. Identitatea emitentului acțiunilor suport existente, la care sunt anexate drepturi de vot / Identity of the issuer or of the issuer of the existing support shares, to which voting rights are attached: |
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|---|---|---|---|
| Denumire/Corporate name: FONDUL PROPRIETATEA S.A. | |||
| Adresaladdress: Str. Buzești, nr. 78-80, etaj 7, Bucureşti, Sectorul 1, România | |||
| Codul unic de înregistrare/registration code: 18253260 | |||
| Cod LEI/LEI code: 549300PV01VWBFH3D007 | |||
| Simbol pe piața reglementată/market symbol: FP | |||
| Tipul valorii mobiliare/lype of securities: certificate de depozit globale ("CDG") având la bază acțiuni suport în legătură cu acțiuni ale emitentului / global depository receipts ("GDRs") corresponding to the issuer's shares |
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| 2. Motivele notificării / Reasons for notification: | |||
| [ _ ] O achiziție sau cedare a drepturilor de vot / An acquisition or assignment of voting rights | |||
| [ X ] O achizitie sau cedare a instrumentelor financiare / An acquisition or assignment of financial instruments |
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| [ Un eveniment prin care se modifică repartizarea drepturilor de vot / An event changing the allocation of voting rights |
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| [ ] Altele (vă rugăm specificați) / Other (please specify) | |||
| 3. Detalii ale persoanei subiect al obligației de notificare / Details of the person subject to the notification obligation: |
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| Denumirea / Name: Silver Point Capital, L.P. ("Silver Point") |
Orașul și țara sediului social / City and country of registered office: |
||
| Greenwich, Connecticut | |||
| USA |
Silver Point Luxembourg Platform S.a.r.l.
Silver Point Distressed Opportunities Fund, L.P.
Silver Point Distressed Opportunities Offshore Master Fund, L.P.
Silver Point Distressed Opportunity Institutional Partners, L.P.
Silver Point Distressed Opportunity Institutional Partners (Offshore), L.P.
Data scăderii sub, a atingerii sau depășirii pragului (procentului de vot) / Date when the holding reached, exceeded or fell below the threshold (voting percentage): 26 April 2021
Totalul pozițiilor persoanelor subiect al obligației de notificare / Total positions of the persons subject to the notification obligation:
| 0/0 din drepturile anexate de vot actiunilor (totalul din 7.A) / % of the voting rights attached the to shares (total of 7.A) |
0/0 din drepturile de vot prin intermediul instrumentelor financiare (totalul din 7.B.1 + 7.B.2) 1 % of the voting rights through financial instruments (total of 7.B.1 + 7.B.2) |
Totalul celor două exprimat procentual % (7.A + 7.B) / Total of the two expressed as a 0/0 percentage (7.A + 7.B) |
Număr total de drepturi de vot ale emitentului / Total number of the issuer's voting rights |
|
|---|---|---|---|---|
| Situația rezultată, la data la care s-a scăzut sub, s-a depășit sau atins pragul / Resulting situation, on the the date when holding passed downwards, reached or passed upwards the threshold |
5.07% | 5.07% | 302,600,000 | |
| Poziția a data notificării anterioare (dacă cazul) este Position on the previous notification date (if applicable) |
| s-a atins pragul / Information to be notified with respect to the resulting situation, on the date when the holding reached, exceeded or fell below the threshold: |
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|---|---|---|---|---|
| A. Drepturile de vot anexate acțiunilor / Voting rights attached to shares | ||||
| Clasa/tipul de acțiuni, codul ISIN, după caz l Class/type of shares, ISIN Code, as the case may be |
Numărul drepturilor de vot / Number of voting rights |
% din drepturile de vot / % of the voting rights |
||
| Direct Art. 69 para. (1)- of Law (3) 24/2017 |
Indirect Art. 70 of Law 24/2017 |
Direct Art. 69 para. (1)- (3) of Law 24/2017 |
Indirect Art. 70 of Law 24/2017 |
|
| CDG / GDRs (ISIN: US34460G1067) având la bază actiuni suport ale emitentului listate si tranzacționate pe London Stock Exchange / corresponding to the shares of the issuer listed and traded on the London Stock Exchange ("LSE") |
302,600,000 | 5.07%" | ||
| SUBTOTAL A | 302,600,000 | 5.07% |
| Instrumente financiare în conformitate cu art. 73, alin. (1), lit. (a) din Legea 24/2017 / B1. Financial instruments in accordance with Art. 73 para. (1) let. (a) of Law 24/2017 |
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|---|---|---|---|---|
| Tipul de instrument financiar / Type |
expirării Perioada Data |
(data scadentā) conversie/exercitare de vot care pot 11 voting rights | de Numărul drepturilor de vot / % of the ' | % din drepturile |
i Silver Point deține CDG (având la bază acțiuni suport ale Fondul Proprietatea SA, listate și tranzacționate pe LSE). Fiecare CDG reprezintă 50 de acțiuni ale emitentului Fondul Proprietatea SA. La data de 26 aprilie 2021, Silver Point și afiliații acestuia identificați la punctul 4 din prezenta dețineau 6.052.000 CDG ce corespund unui număr de 302.600.000 acțiunii ale emitentului.
Silver Point owns GDRs (corresponding to shares of Fondul Proprietatea SA, listed and traded on the LSE). Each GDR represents 50 shares. of the shares of Fondul Proprieteted SA. As of 26 April 2021, Silver Point and its affiliates identified in Item 4 had the beneficial ownership of 6,052,000 GDRs, which equatescorrespond to 302,600,000 ordinary shares.
ii La data de 26 aprilie 2021, emitentul avea 5.962.727.857 acțiuni, reflectând o scădere a numărului de acțiuni ca urmare a răscumpărării de către emitent a unui num[r de 63.617.760 acțiuni și 22.039.000 CDG după ce emitentul a depus raportul anual pentru anul 2020.
As of 26 April 2021, there were 5,962,727,857 ordinary shares outstanding, reflecting a decrease in shares following thecompany'sthe issuer's repurchase of 63,617,760 ordinary shares and 22,039,000 GDRs after the companyissuer submitted its 2020 annual report.
| financial of instrument |
Expiration date (maturity date) |
Conversion/exercise period |
dacă achiziționate instrumentul este exercitat / convertit / Number of voting rights that can be if the acquired, instrument IS exercised/converted |
|
|---|---|---|---|---|
| SUBTOTAL B1 |
| B2. Instrumente financiare cu efect economic similar în conformitate cu art. 73 alin. (1) lit. (b) din Legea 24/2017 I Financial instruments with a similar economic effect in accordance with Art. 73 para. (1) let. b) Law 24/2017 |
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|---|---|---|---|---|
| Tipul de instrument financiar / Type financial of instrument |
Data expirării (data scadentă) I Expiration date (maturity date) |
de Perioada conversie/exercitare Conversion/exercise period |
Decontare fizică sau in numerar Physical settlement or in cash |
% din drepturile de vot / % of the voting rights |
| SUBTOTAL B2 |
[ _ ] Persoana subiect al obligaţiei de notificare nu este controlată de către nicio persoană fizică sau entitate legală și nu controlează nicio entități) care are (au) în mod direct sau indirect o expunere în emitentul acțiunilor suport / The person subject to the notification obligation is not controlled by any natural person or legal entity and does not control any entity (entities) having directly or indirectly an exposure in the issuer of the support shares.
[ X ] Lanțul complet al persoanelor controlate prin intermediul cărora se dețin efectiv drepturi de vot și/sau instrumente financiare, începând cu persoana fizică sau entitatea legală de ultim nivel care le controlează / The full chain of the controlled persons through whom voting rights and/or financial instruments are actually held, starting with the ultimate natural person or legal entity controlling them:
| Numele, denumirea Name: |
% din drepturile de vot dacă acesta este egal sau mai mare decât pragul care trebuie notificat / % of the voting rights if equal to or higher than the threshold to be notified |
% din drepturile de vot prin intermediul instrumentelor dacă acesta financiare este egal sau mai mare decât pragul care trebuie notificat / % of the voting rights through financial instruments, if this is equal |
Totalul celor două, dacă acesta este egal sau mai mare decât pragul care trebuie notificat / Total of the two, if this is equal to or higher than the threshold to be notified |
|---|---|---|---|
| ------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------ | -------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- | -------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- |
| higher than the to or threshold to be notified |
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|---|---|---|---|
| Silver Point Capital, L.P. or its wholly- owned affiliates, investment managers of the Funds listed below, which are controlled by Edward A. Mulé and Robert J. O'Shea: |
5.07% | ||
| Silver Point Distressed Opportunity Institutional Partners, L.P. |
0.59% | ||
| Silver Point Distressed Opportunity Institutional Partners (Offshore), L.P. |
0.22% | ||
| Silver Point Distressed Opportunities Fund, L.P. |
0.32% | ||
| Silver Point Distressed Opportunities Offshore Master Fund, L.P. |
0.13% | ||
| Silver Point Luxembourg Platform S.a.r.l. |
3.8% |
În cazul votului prin reprezentant [numele/denumirea mandatarului] va înceta să dețină [½ și numărul] drepturi de vot începând cu [data] / In the case of the vote by representative: [name of the representative] will cease holding [% and the number] of the voting rights starting from [date]: N/A
Informații suplimentare / Additional information: N/A
Întocmit la New York, la data de 30 aprilie 2021 / Drafted at New York, New York on 30 April 2021.
Prin/by:
Steven Weiser Authorized Signatory
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