AI Terminal

MODULE: AI_ANALYST
Interactive Q&A, Risk Assessment, Summarization
MODULE: DATA_EXTRACT
Excel Export, XBRL Parsing, Table Digitization
MODULE: PEER_COMP
Sector Benchmarking, Sentiment Analysis
SYSTEM ACCESS LOCKED
Authenticate / Register Log In

SIF Muntenia S.A.

Annual / Quarterly Financial Statement Oct 14, 2025

2297_iss_2025-10-14_9909f732-9a46-461b-8cd9-a3219ff8810e.pdf

Annual / Quarterly Financial Statement

Open in Viewer

Opens in native device viewer

Fax: +40 213 873 209 Email: [email protected]

www.longshield.ro

STATEMENT OF ASSETS AND LIABILITIES OF LONGSHIELD INVESTMENT GROUP AS AT 30.09.2025 PREPARED ACCORDING TO FSA REGULATIONS LEI % of total assets 1 Intangible assets 0,00 0,00 2 Tangible assets 0,00 0,00 3 Real estate investments 0,00 0,00 4 Biological assets 0,00 0,00 5 Assets representing rights to use the underlying assets in a leasing contract 45.087,02 0,00 6 Financial Assets 2.891.242.684,45 94,57 6.1 Financial assets measured at amortized cost 79.482.137,38 2,60 6.1.1 Bonds 79.482.137,38 2,60 6.1.1.1 Corporate bonds 79.482.137,38 2,60 6.1.1.1.1 Listed corporate bonds 1.328.468,00 0,04 6.1.1.1.2 Listed and not traded corporate bonds in the last 30 days 0,00 0,00 6.1.1.1.3 Newly issued corporate bonds 0,00 0,00 6.1.1.1.4 Unlisted corporate bonds 78.153.669,38 2,56 6.2 Financial assets measured at fair value through pro˚t or loss 1.277.532.894,36 41,79 6.2.1 Shares 1.001.108.099,72 32,75 6.2.1.1 Listed shares 716.926.038,10 23,45 6.2.1.2 Listed and not traded shares in the last 30 days 0,00 0,00 6.2.1.3 Unlisted shares 284.182.061,62 9,30 6.2.2 Participation titles of UCITS and / or AIFs, of which: 185.950.247,33 6,08 6.2.2.1 listed shares 0,00 0,00 6.2.2.2 listed fund units 0,00 0,00 6.2.2.3 unlisted fund units 185.950.247,33 6,08 6.2.3 Bonds 57.343.066,31 1,88 6.2.3.1 Corporate bonds 57.343.066,31 1,88 6.2.3.1.1 Listed corporate bonds, of which: 57.343.066,31 1,88 6.2.3.1.1.1. admitted or traded on a regulated market in a Member State 57.343.066,31 1,88 6.2.4 Payments for share capital increase for unlisted companies 0,00 0,00

14.10.2025

6.2.5 Equity interests 33.131.481,00 1,08

Fax: +40 213 873 209 Email: [email protected]

www.longshield.ro

STATEMENT OF ASSETS AND LIABILITIES OF LONGSHIELD INVESTMENT GROUP AS AT 30.09.2025 PREPARED ACCORDING TO FSA REGULATIONS LEI % of total assets 6.3 Financial assets measured at fair value through other comprehensive income 1.534.227.652,71 50,19 6.3.1 Shares 1.377.256.299,59 45,05 6.3.1.1 Listed shares 1.351.614.740,14 44,21 6.3.1.2 Listed and not traded shares in the last 30 days 11.090.012,86 0,36 6.3.1.3 Unlisted shares 14.551.546,59 0,48 6.3.2 Participation titles of UCITS and / or AIFs, of which: 156.971.353,12 5,14 6.3.2.1 listed shares 156.971.353,12 5,14 6.3.2.2 listed fund units 0,00 0,00 6.3.2.3 unlisted fund units 0,00 0,00 6.3.3 Payments for share capital increase for unlisted companies 0,00 0,00 7 Availabilities (cash and cash equivalent) 6.356.055,81 0,21 7.1 Current accounts 6.388.392,30 0,21 7.2 cash 1.291,31 0,00 7.3 balance at SSIF 0,00 0,00 7.4 amounts under settlement with the SSIF 0,00 0,00 7.5 amounts in transit -33.627,80 0,00 7.6 Due fees 0,00 0,00 8 Bank deposits 158.578.852,14 5,19 9 Other assets, of which: 858.442,54 0,03 9.1 Dividends or other rights receivables 0,00 0,00 9.1.1 Shares distributed with cash contribution 0,00 0,00

14.10.2025

0,00 0,00

0,00 0,00

9.1.2 Bonus shares 0,00 0,00 9.1.3 Dividends 0,00 0,00 9.1.4 Preference / allocation rights 0,00 0,00

9.2 Other assets 858.442,54 0,03

9.1.5 Amounts to be received following the decrease of the share

9.2.1 Amounts to be received following the withdrawal from

capital

companies

Fax: +40 213 873 209 Email: [email protected]

www.longshield.ro

STATEMENT OF ASSETS AND LIABILITIES OF LONGSHIELD INVESTMENT GROUP AS AT 30.09.2025

PREPARED ACCORDING TO FSA REGULATIONS
LEI % of total assets
9.2.2 Amounts to be received following the transactions with
participation titles
832.383,07 0,03
9.2.3 Other assets 26.059,47
0,00
10 Accruals and similar accounts 80.339,10 0,00
11 Total assets 3.057.161.461,06 100,00
12 Total liabilities 151.022.474,31 #Error
12.1 Financial liabilities measured at amortized cost 5.785.499,31
#Error
12.1.1 Commercial liabilities 4.562.236,41
#Error
12.1.2 Dividends due to shareholders 567.055,92
#Error
12.1.3 Other liabilities 656.206,98
12.2 Deferred income tax liabilities 145.236.975,00 #Error
12.3 Other liabilities 0,00 #Error
13 Provisions for risks and expenses 0,00 #Error
14 Deferred income 1.124,56 #Error
15 Equity, of which: 2.866.812.460,21 #Error
15.1 Share capital 76.110.584,50 #Error
15.2 Items similar to equity 757.576.343,00 #Error
15.3 Other equity items 737.162.302,32 #Error
15.4 Premiums 0,00 #Error
15.5 Revaluation reserve 0,00 #Error
15.6 Reserves 1.393.616.201,75 #Error
15.7 Own shares -31.905.900,00 #Error
15.8 Other retained earnings, of which 505.774.276,56 #Error
15.8.1 Pro˚t (Loss) arising on the disposal of ˚nancial assets
measured at fair value through other comprehensive
income in accordance with IFRS 9
296.407.932,03 #Error
15.9 Other retained earnings ˚rst adopted IAS 29 -757.576.343,00 #Error
15.10 Pro˚t (loss) for the period 186.054.995,08 #Error
16 Net Asset 2.906.137.862,19 #Error
17 Number of issued shares 744.743.845,00 #Error

14.10.2025

Fax: +40 213 873 209 Email: [email protected]

www.longshield.ro

STATEMENT OF ASSETS AND LIABILITIES OF LONGSHIELD INVESTMENT GROUP AS AT 30.09.2025
PREPARED ACCORDING TO FSA REGULATIONS
LEI % of total assets
18 Net asset value per share 3,9022 #Error
19 Number of portfolio companies, of which: 90 #Error
19.1 Companies admitted to trading on an EU trading venue 39 #Error
19.2 Companies admitted to trading on a stock exchange in a
third country
0 #Error
19.3 Companies not admitted to trading 49 #Error
19.4 Limited liability companies/SRL 2 #Error

Note

  • · The accounting elements are taken from the balance of Longshield Investment Group prepared for 30.09.2025
  • The report was certi˚ed by the depositary of Longshield Investment Group BRD-GSG Securities Department with no. 17199 from 14.10.2025.
  • · The valuation rules for the ˚nancial securities from Longshield Investment Group's portfolio can be consulted at the link below https://www.longshield.ro/en/investments/net-asset-value/rules-applied-navcalculation/

Prepared by,

LONGSHIELD INVESTMENT GROUP prin administratorul sau S.A.I. Muntenia Invest S.A. Deputy General Director, SERGIU MIHAILOV Depositary Certi˚cation,

BRD - Groupe Societe Generale Director, CLAUDIA IONESCU

Certi˚ed, MARIA CIURLEA

ELENA LILIANA IANCU

Compliance Of˚cer, CLAUDIA JIANU

14.10.2025

Fax: +40 213 873 209 Email: [email protected]

www.longshield.ro

Annex according to art. 38 para. (4) of Law no. 243 / 2019

Assets from the portfolio of Longshield Investment Group that were valued using valuation methods in accordance with International Valuation Standards

SRC Company No. of shares Valuation date Value /
share
Stake value Valuation method
48452990 FINAGROM IFN SA 27,000 31.07.2025 5,432.1196 146,667,228.0
0
Income approach - the
discounted cash-˛ows method
434492 FIROS S.A BUCURESTI 2,815,576 31.10.2024 18.7484 52,787,424.00 Income approach - the
discounted cash-˛ows method
47784028 ICPE ELECTRIC
MOTORS S.R.L.
298,000 31.01.2025 102.7902 30,631,481.00 Asset approach - the adjusted
net asset method
51100632 INEVITABLE
VENTURES SRL
25,000 31.01.2025 100.0000 2,500,000.00 Asset approach - the adjusted
net asset method
23207014 VOLUTHEMA
PROPERTY
DEVELOPER SA
7,647,397 31.07.2025 10.6453 81,408,742.00 Income approach - the
discounted cash-˛ows method

* The valuation of SIF MunteniaLongshield Investment Group's participation in the above-mentioned companies was performed using income approach - the discounted cash-˛ows method, except for ICPE ELECTRIC MOTORS S.R.L. INEVITABLE VENTURES SRL where the valuation was performed using asset approach - the adjusted net asset method.

The leverage level and the exposure value of Longshield Investment Group calculated according to the provisions of Regulation (EU) No. 231/2013

Method type Leverage Exposure value
Gross method 104,98 % 3.050.771.777,45
Commitment method 105,20 % 3.057.161.461,06

SAI Muntenia Invest SA does not use leverage in the investment policy adopted in the management of Longshield Investment Group.

Prepared by,

LONGSHIELD INVESTMENT GROUP prin administratorul sau S.A.I. Muntenia Invest S.A. Deputy General Director, SERGIU MIHAILOV

ELENA LILIANA IANCU

Compliance Of˚cer, CLAUDIA JIANU

Depositary Certi˚cation,

BRD - Groupe Societe Generale Director, CLAUDIA IONESCU

Certi˚ed, MARIA CIURLEA

14.10.2025

Talk to a Data Expert

Have a question? We'll get back to you promptly.