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SIF Oltenia S.A.

Net Asset Value Nov 14, 2017

2304_mda_2017-11-14_985b04c1-9234-463c-ace4-0a599840a0bb.pdf

Net Asset Value

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Situation of assets on 30/09/2017

(it is filled in every year and semester)

Net asset Total asset 1,494,899,450 lei 1,570,989,901 lei 1,654,106,097 lei 1,763,574,367 lei

Name of the element The beginning of the reporting period The end of the reporting period Differences (lei)
ι. TOTAL ASSETS asset % of net 1% of total
asset
Foreign
Currency
Lei % of net
asset
% of total
asset
Foreign
Currency
Lei
1 Securities and instruments of the
monetary market, of which:
64.9736 61.8266 971,289,330 65,9730 61,8779 1,091,263,452 119,974,122
1.1 Securities and instruments of the monetary
market admitted or traded on a settled
market of Romania, of which: shares, other
assimilated securities to them (each category)
being mentioned), bonds (on categories of
issuer), other receivables (being mentioned
on types and categories of issuer), other
securities, instruments of the monetary
market (on categories);
64.9736 61.8266 971,289,330 65.9730 61.8779 ΩI 1,091,263,452 119,974,122
BVB - shares 52.4545 49.9139 784,142,209 52.9003 49.6167 01 875,026,915 90,884,706
- AERO -shares 12.5190 11.9127 187, 147, 121 13.0727 12.2613 216,236,537 29,089,416
- Preference rights 0.0000 0.0000 0. $\Omega$ 0.0000 0.0000
1.2 Securities and instruments of the monetary
lmarket admitted or traded on a settled
market of a member state, of which: shares,
other securities assimilated to them (each
category being mentioned), bonds (on
categories of issuer), other receivables
(being mentioned on types and categories of
issuer), other securities, instruments of the
monetary market (on categories);
0.00001 0.0000 0 0 0.00001 0.0000

Situation of assets on 30/09/2017

(it is filled in every year and semester)

1,494,899,450 lei 1,570,989,901 lei 1,654,106,097 lei

ANNEX 17

1,763,574,367 lei

Net asset
Total asset
Name of the element The beginning of the reporting period The end of the reporting period Differences (lei)
ι. TOTAL ASSETS asset % of net % of total
asset
Foreign
Currency
Lei $%$ of net
asset
% of total
asset
Foreign
Currency
Lei
1.3 Securities and instruments of the monetary
Imarket admitted at the official rate of a stock I
exchange in a non member state or
Inegotiated on another settled market of a
non member state, which regularly operates
and is recognized and open to public.
approved by R.N.S.C of which: shares,
other securities assimilated to them (each
category being mentioned), bonds (on
categories of issuer), other receivables
(being mentioned on types and categories of
(issuer), other securities, instruments of the
category being mentioned), bonds (on
categories of issuer), other receivables
(being mentioned on types and categories of
issuer), other securities, instruments of the
monetary market (on categories);
0.0000 0.0000 0.0000 0.0000
2 Newly issued securities 0.00001 0.0000 0.0000 0.0000
3 Other securities and instruments
of the monetary market mentioned
in art. 187 letter a): securities (on
categories and types of issuer)
and instruments of the monetary
market (on categories);
36.3708 34.6092 543,706.344 36.7425 34.4618 607.759.288 64.052.944

settled market of Romania, on categories;

5.2 Financial instruments derived traded on a settled market of a member state, on

5.3 Financial instruments derived traded on a settled market of a non member state, on

5.4 Financial instruments derived negotiated outside the settled markets, on categories of

6 Current accounts and cash

Law no. 297/2004.

7 Instruments of the monetary

market, other than those traded on a settled market, according to art. 101 paragraph (1) letter g) of the

categories;

categories;

instruments:

ANNEX 17

$|0|$

$\overline{0}$

$\Omega$

$\mathbf 0$

0

4,182,150

$\mathbf{0}$

$\Omega$

11,493,380

$\mathbf 0$

$\mathbf 0$

$\mathbf 0$

$\mathbf 0$

$\mathbf{0}$

12,166,333

Situation of assets on 30/09/2017 (it is filled in every year and semester)
Net asset 1,494,899,450 lei 1,654,106,097 lei
Total asset 1,570,989,901 lei 1,763,574,367 lei
Name of the element The beginning of the reporting period The end of the reporting period Differences (lei)
ι. TOTAL ASSETS asset % of net 1% of totall
asset
Foreign
Currency
Lei $%$ of net
asset
% of total
asset
Foreign
Currency
Lei
4 Bank deposits, of which: 1.6367 1.5574 5,105,236.30 19.361.239.48 1.9550 1.8337 4.633.030.28 27,705,362.26 7,871,917
4.1 Bank deposits made in credit institutions of
IRomania:
1.6367 1.5574 5,105,236.30 19.361.239.48 1.9550 1.8337 4,633,030.28 27,705,362.26 7,871,917
4.2 Bank deposits made in credit institutions of a
lmember state:
0.0000 0.0000 0.0000 0.0000 0
4.3 Bank deposits made in credit institutions of a
non member state:
0.00001 0.0000 ΩI 0.0000 0.0000 0
5 Financial instruments derived
traded on a settled market 0.00001 0.0000 0.00001 0.00001 0
5.1 Financial instruments derived traded on a

$\overline{0}$

οl

-ol

$\Omega$

οl

1,415,865

$0.0000$

$0.0000$

$0.0000$

0.0000

0.9477

$0.0000$

$\Omega$

Ωl

Ωİ

$\Omega$

0

2,093,332

0.0000

0.0000

$0.0000$

$0.0000$

0.8888

0.0000

0.0000

0.0000

0.0000

$0.0000$

$0.2234$

$0.0000$

$0.0000$

$0.0000$

0.0000

$0.0000$

0.2347

$0.0000$

Situation of assets on 30/09/2017

(it is filled in every year and semester)

Net asset 1,494,899,450 lei Total asset 1,570,989,901 lei

1,654,106,097 lei

1,763,574,367 lei

Name of the element The beginning of the reporting period The end of the reporting period Differences (lei)
TOTAL ASSETS $%$ of net $\parallel$
asset
l% of totall
asset
Foreign
Currency
Lei $%$ of net
asset
% of total
asset
Foreign
Currency
Lei
8 Participation securities of
AOPC/OPCVM 0.1597 0.1519 2,386,705 0.1687 0.1582 2,790,327 403,622
9 Other assets (amounts in transit,
amounts at distributors, amounts 0.0000 0.0000 0.0000 0.0000 $\mathbf{0}$
9.1 Shares due according to subscriptions to the
increases of social capital 0.00001 0.00001 0.00001 0.00001 0
9.2 Other rights to receive 0.00001 0.00001 0.00001 0.0000 0

GENERAL MANAGER Dr. ec. Tudor Ciurezu

ECONOMIC MANAGER Ec. Elena Sichigea

ANNEX17

$\overline{\phantom{a}}$

Situation of unit value of net asset on 30/09/2017

No.
Item
Name of the element (according to
RNSC Regulations no.15/2004)
30/09/2017 30/09/2016 Diferente
No of shares issued 580, 165, 714 580, 165, 714
Unitary value of net asset 2.8511 2.6445 0 2066 I

GENERAL MANAGER Dr. ec. Tudor Ciurezu

ANNEX 17

The evolution of net asset and of VUAN in the last 3 years on 30/09/2017

No.
ltem
Name of the element (according to
RNSC Regulations no.15/2004)
31/12/2015 31/12/2016 30/09/2017
lNet asset 1,622,765,774 1.494.899.450 1,654,106,097
Unit value of net asset 2.7971. 2.5767 2.8511

GENERAL MANAGER Dr. ec. Tudor Ciurezu

Detailed situation of investments on 30/09/2017

Net asset Total asset

1,654,106,097 lei 1,763,574,367 lei

Securities admitted or traded on a settled market of Romania - BVB (shares)

No.
Ite
m
Issuer Symbol transaction Date of last No of shares
held
Nominal value Share
value
Total value Weight in
the issuer's
social
capital
Weight in
the total
asset of SIF
Weight in
the net
asset of SIF
1 ALTUR SLATINA ALT 29/09/2017 49,428,571 0.1000 0.0380 1,878,286 5.9958 0.1065 0.1136
2 ANTIBIOTICE IASI ATB 29/09/2017 96,232,108 0.1000 0.5560 53,505,052 14.3344 3.0339 3.2347
B.R.D.-GROUPE SOCIETE
3 GENERALE BUCURESTI
IBRD 29/09/2017 15,346,845 1.0000 12.4400 190,914,752 2.2022 10.8254 11.5419
BANCA TRANSILVANIA
$4$ CLUJ
TLV 29/09/2017 48,744,240 1.0000 2.2200 108,212,213 1.1228 6.1360 6.5420
BURSA DE VALORI
5 BUCURESTI
IBVB 29/09/2017 383,709 10.0000 31.2000 11,971,721 5.0000 0.6788 0.7238
C.N.T.E.E.
TRANSELECTRICA
6BUCURESTI
TEL 29/09/2017 2,811,808 10.0000 28.6000 80,417,709 3.8359 4.5599 4.8617
7 COS TARGOVISTE $\overline{\cos}$ 6,142,826 0.1000 0.0000 8.9220 0.0000 0.0000
ELECTROMAGNETICA
8BUCURESTI
ELMA 29/09/2017 171,717,594 0.1000 0.1700 29,191,991 25.4006 1.6553 1.7648
9 OMV PETROM BUCURESTI SNP 29/09/2017 726,500,277 0.1000 0.2890 209,958,580 1.2826 11.9053 12.6932
10 PRODPLAST BUCURESTI PPL 28/09/2017 4,702,595 1.0000 2.5400 11,944,591 27.5450 0.6773 0.7221
11 S.E. ELECTRICA SA EL 29/09/2017 94,738 10.0000 12.8600 1,218,331 0.0274 0.0691 0.0737
12 S.N.G.N. ROMGAZ S.A. SNG 29/09/2017 1,551,729 1.0000 30.7500 47,715,667 0.4026 2.7056 2.8847
SANTIERUL NAVAL
13 ORSOVA ISNO. 28/09/2017 2,907,314 2.5000 2.7000 7,849,748 25.4516 0.4451 0.4746
14 SIF MOLDOVA SIF 2 29/09/2017 19,145 0.1000 1.2180 23,319 0.0018 0.0013 0.0014
15 SIF TRANSILVANIA SIF 3 29/09/2017 12,450,162 0.1000 0.2670 3,324,193 0.5700 0.1885 0.2010

Detailed situation of investments on 30/09/2017

$\overline{\phantom{a}}$

Net asset Total asset

1,654,106,097 lei 1,763,574,367 lei

Securities admitted or traded on a settled market of Romania - BVB (shares)

No.
Ite
m
Issuer Symbol transaction \ Date of last No of shares
held
l Nominal valuel Share
value
Total value Weight in
the issuer`s
social
capital
Weight in
the total
l asset of SIF I asset of SIF
Weight in
the net
ISNTGN TRANSGAZ
16 MEDIAS TGN 29/09/2017 193,270 10.0000 396,0000 76,534,920 1.64151 4.3398 4.6270
17 T.M.K. ARTROM SLATINA ART 29/09/2017 6.426.557 2.5100 3.1900 20,500,717 5.5320 1.1625l 1.2394
18 TURISM FELIX BAILE FELIX TUFE 28/09/2017 84.174.259 0.1000 0.2360 19,865,125 16.9655 1.1264 1.2010
875,026,915 49.6167 52.9003

GENERAL MANAGER Dr. ec. Tudor Ciurezu

ECONOMIC MANAGER Ec. Elena Sichigea

Detailed situation of investments on 30/09/2017

Net asset 1,654,106,097 lei Total asset 1,763,574,367 lei

Securities admitted or traded on an alternative market of Romania- AERO (BVB) - (shares)

No.
Ite
m
Issuer Symbol Date of
last
transactio
No of shares
held
Nominal value Share
value
Total value Weight in
the issuer's
social
capital
Weight in
the total
asset of SIF
Weight in
the net
asset of SIF
I ALIMENTARA SLATINA ALRV 31/07/2017 214,742 2.4300 23.3453 5,013,219 52.2352 0.2843 0.3031
2 ARGUS CONSTANTA UARG 29/09/2017 30.844,568 1.5000 2.5500 78,653,648 86.2050 4.4599 4.7551
3 CEREALCOM ALEXANDRIA CCOM 28/09/2017 34,672,773 0.1000 0.0479 1,660,826 6.6944 0.0942 0.1004
CONSTRUCTII FEROVIARE
4 CRAIOVA
CFED 25/09/2017 2,725,325 1.5400] 0.8000 2,180,260 77.5001 0.1236 0.1318
5 CONTACTOARE BUZAU CONQ 18/08/2017 521,220 2.5000 10.2559 5,345,567 18.1964 0.3031 0.3232
6 FLAROS BUCURESTI FLAO 20/09/2017 1,232,894 2.5000 38.5000 47,466,419 81.0386 2.6915 2.8696
7 IIAMU BLAJ IAMU 25/09/2017 1,884,289 2.5000 5.3800 10,137,475 19.8343 0.5748 0.6129
ILACTATE NATURA
8 TARGOVISTE
INBO 10/05/2017 980,437 2.50001 3.4899 3,421,625 39.6969 0.1940 0.2069
9 MAT CRAIOVA MTCR 20/09/2017 2,024,778 2.5000 1.2000 2,429,734 25.7118 0.1378 0.1469
10 MERCUR CRAIOVA MRDO 28/07/2017 7,104,836 2.5000 3.8229 27, 161, 321 97.8593 1.5401 1.6421
11 RELEE MEDIAS RELE 21/07/2017 62,080 2.5000 13.0688 811,311 11.4644 0.0460 0.0490
12 SINTEROM CLUJ SIRM 12/01/2017 1,531,471 2.5000 9.8659 15,109,366 31.6302 0.8567 0.9134
13 TUSNAD BAILE TUSNAD TSND 27/09/2017 25,861,924 0.1000 0.0380 982,753 8.5691 0.0557 0.0594
14 UNIVERS RM. VALCEA UNVR 01/09/2017 587,519 2.5000 27.0000 15,863,013 73.7494 0.8995 0.9590
216,236,537 12.2613 13.0727

GENERAL MANAGER Dr. ec. Tudor Ciurezu

ECONOMIC MANAGER Ec. Elena Sichigea

$\sim$

Detailed situation of investments on 30/09/2017

Vet asset 1.654,106,097 lei
Total asset 1,763,574,367 lei

Instruments mentioned in art.187 lit.a) of RNSC Regulations no.15/2004

Shares issued by commercial companies of closed type

No.
Item
Issuer No of shares
held
Acquisitio
n date
Acquisition
price
Share value Total value Weight in
the issuer's
social
capital
Weight in
the total
asset of SIF
Weight in
the net
asset of SIF
BANCA COMERCIALA
1 ROMANA BUCURESTI 1,023,534,303 01/11/1996 0.0520 0.4554 466, 113, 183 6.2973 26,4300 28.1792
BIROUL DE INVESTITII
2 REGIONAL OLTENIA IFN 272,411 01/11/1996 15.4550 9.9985 2,723,701 19.4540 0.1544 0.1647
BT ASSET MANAGEMENT
3 S.A.I. CLUJ
716,559 28/02/2006 0.8953 5.9073 4,232,920 9.9998 0.2400 0.2559
COMPLEX HOTELIER
4 IDAMBOVITA 1,753,217 31/01/1998 2.7577 3.7018 6,490,118 99.9427 0.3680 0.3924
5 COREALIS CRAIOVA 655,757 30/06/2000 2,5000 3.0260 1,984,305 11.9210 0.1125 0.1200
6 CORINT TARGOVISTE 178,297 01/11/1996 0.1929 0.0000 5.7978 0.0000 0.0000
DEPOZITARUL CENTRAL
7 BUCURESTI
9,878,329 31/07/1998 0.0770 0.1225 1,209,734 3.9057 0.0686 0.0731
8 DEPOZITARUL SIBEX 12,480 27/03/2009 100.0000 91.9020 1,146,937 5.4379 0.0650 0.0693
9 ELBA TIMISOARA 39,628 01/11/1996 2.5000 116.8498 4,630,524 2.3694 0.2626 0.2799
ELECTRO TOTAL
10 BOTOSANI 57,909 28/02/2003 2.5000 0.0000 01 29.8562 0.0000 0.0000
EXIMBANK BANCA DE
EXPORT IMPORT A
11 ROMANIEI BUC 4,364,430 01/11/1996 5.4039 8.0238 35,019,526 3.2702 1.9857 2.1171
12 GEMINA TOUR RM. VILCEA 757,888 01/11/1996 2.5000 2.6231 1,988,031 88.2866 0.1127 0.1202
13 OTELINOX TARGOVISTE 1,809,195 01/11/1996 2.8091 6.0131 10,878,916 5.4694 0.6169 0.6577
14 PROVITAS BUCURESTI 35,139 01/11/1996 2.0114 137.5956 4,834,972 70.2780 0.2742 0.2923
15 SAGRICOM ULMI 57,941 01/11/1996 0.0025 0.0000 4.2057 0.0000 0.0000

Detailed situation of investments on 30/09/2017

Net asset 1,654,106,097 lei Total asset 1,763,574,367 lei

Instruments mentioned in art.187 lit.a) of RNSC Regulations no.15/2004

Shares issued by commercial companies of closed type

No.
Item
Issuer No of shares
held
Acquisitio
n date
Acquisition
price
Share value Total value Weight in
the issuer's
social
capital
Weight in
the total
Weight in
the net
l asset of SIF I asset of SIF I
16 SANEVIT ARAD 792,662 31/12/1995 0.1000 0.00001 13.2841 0.00001 0.0000
17 TURISM LOTUS FELIX 347,859,802 18/12/2009 0.1006 0.0981 34, 139, 573 27,4554 1.9358 2.0639
18 TURISM PUCIOASA 1,010,599 01/11/1996 2.1170 4.6341 4,683,193 69.2191 0.2656 0.2831
19 VOLTALIM CRAIOVA 5,997,519 31/10/1999 2.3836 4.6159 27,683,655 99.1942 1.5697 1.6736
607,759,288 34.4618 36.7425

GENERAL MANAGER Dr. ec. Tudor Ciurezu

Detailed situation of investments on 30/09/2017

Net asset Total asset 1,654,106,097 lei 1,763,574,367 lei

Securities of AOPC/OPCVM

No.
Item
Issuer Symbol Quantity Quotation Market value Weight in the
number of
operating
securities
Weight in
the total
asset of SIF
Weight in
the net
asset of SIF
IBT INDEX RO 146,000.000 11.8470 1,729,662 2.9320 0.0981 0.1046
2 FDI NAPOCA 381,222.000 0.5472 208,605 1.5830 0.0118 0.0126
3 FDI TRANSILVANIA 7,444.000 48.7179 362,656 1.2621 0.0206 0.0219
4 FDI TEHNOGLOBINVEST 382,990 1,277.8498 489.404 5.1308 0.0278 0.0296
2,790,327 0.1582 0.1687

GENERAL MANAGER Dr. ec. Tudor Ciurezu

Detailed situation of investments on 30/09/2017

ANNEX 17

Net asset Total asset 1,654,106,097 lei 1,763,574,367 lei

Bank deposits in lei made in credit institutions of Romania

No.
Item
Name of the bank Constitution
date
Due time Initial value Daily interest Cumulated
interest
Updated value the total
asset of
SIF
Weight in Weight in
the net
asset of
SIF
BANCA TRANSILVANIA 21/08/2017 23/10/2017 5,000,000.00 62.5000 2,562.50 5,002,562.50 0.2837 0.3024
2IBANCA TRANSILVANIA 21/08/2017 23/10/2017 2,000,000.00 25.0000 1,025.00 2,001,025.00 0.1135 0.1210
3 BANCA TRANSILVANIA 21/08/2017 23/10/2017 1,000,000.00 12.5000 512.50 1,000,512.50 0.0567 0.0605
4 BANCA TRANSILVANIA 21/08/2017 23/10/2017 500,000.00 6.2500 256.25 500,256.25 0.0284 0.0302
5 BANCA TRANSILVANIA 21/08/2017 23/10/2017 500,000.00 6.2500 256.25 500,256.25 0.0284 0.0302
6 BANCA TRANSILVANIA 25/08/2017 23/10/2017 5,000,000.00 62.5000 2,312.50 5,002,312.50 0.2836 0.3024
7 BANCA TRANSILVANIA 25/08/2017 23/10/2017 2,000,000.00 25.0000 925.00 2,000,925.00 0.1135 0.1210
8 BANCA TRANSILVANIA 25/08/2017 23/10/2017 2,000,000.00 25.0000 925.00 2,000,925.00 0.1135 0.1210
9 BANCA TRANSILVANIA 25/08/2017 23/10/2017 ,000,000.00 12.5000 462.50 1,000,462.50 0.0567 0.0605
10 BANCA TRANSILVANIA 25/08/2017 23/10/2017 1,000,000.00 12.5000 462.50 1,000,462.50 0.0567 0.0605
11 BANCA TRANSILVANIA 25/08/2017 23/10/2017 800,000.00 10.0000 370.00 800,370.00 0.0454 0.0484
12 BANCA TRANSILVANIA 28/08/2017 23/10/2017 600,000.00 7.5000 255.00 600,255.00 0.0340 0.0363
13 BANCA TRANSILVANIA 28/08/2017 23/10/2017 500,000.00 6.2500 212.50 500,212.50 0.0284 0.0302
14 BANCA TRANSILVANIA 31/08/2017 20/10/2017 ,000,000.00 11.1111 344.44 1,000,344.44 0.0567 0.0605
15 BANCA TRANSILVANIA 31/08/2017 23/10/2017 1,800,000.00 20.0000 620.00 1,800,620.00 0.1021 0.1089
16 BANCA TRANSILVANIA 23/08/2017 23/10/2017 1,800,000.00 22.5000 877.50 1,800,877.50 0.1021 0.1089
17 BANCA TRANSILVANIA 30/09/2017 02/10/2017 115,563.59 0.2568 0.26 115,563.85 0.0066 0.0070
18 BANCA TRANSILVANIA 21/08/2017 23/10/2017 1,000,000.00 12.5000 512.50 1,000,512.50 0.0567 0.0605
19BCR 30/09/2017 01/10/2017 76,906.34 0.1282 0.131 76,906.47 0.0044 0.0046
27,692,469.93 $\overline{12,892.33}$ 27,705,362.26 1.5710 1.6749

GENERAL MANAGER Dr. ec. Tudor Ciurezu

Detailed situation of investments on 30/09/2017

ANNEX 17

Net asset Total asset

1,654,106,097 lei 1,763,574,367 lei

Bank deposits in foreign currency made in credit institutions of Romania

No.
ltem
Name of the bank Constitution
date
Due time Initial value Daily interest Cumulated
interest
Updated value the total
asset of
SIF
Weight in Weight in
the net
asset of
SIF
1 BANCA TRANSILVANIA 23/08/2017 23/10/2017 1,948,850.00 10.8269 422.25 1,949,272.25 0.1105 0.1178
2 BANCA TRANSILVANIA 23/08/2017 23/10/2017 1,169,310.00 6.4962 253.35 1,169,563.35 0.0663 0.0707
3 BANCA TRANSILVANIA 23/08/2017 23/10/2017 779,540.00 4.3308 168.90 779,708.90 0.0442 0.0471
4 BANCA TRANSILVANIA 23/08/2017 23/10/2017 734,326.68 4.0796 159.10 734,485.78 0.0416 0.0444
4,632,026.68 1,003.60] 4,633,030.28 0.2627 0.2801

GENERAL MANAGER Dr. ec. Tudor Ciurezu

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