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S.N.G.N. Romgaz S.A.

Capital/Financing Update Mar 7, 2025

2289_rns_2025-03-07_0d9175c7-47e6-458d-abaf-c38b69db3f8f.pdf

Capital/Financing Update

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CURRENT REPORT

In compliance with Law no. 24/2017 regarding Issuers of Financial Instruments and Market Operations and F.S.A. Regulation no. 5/2018

Report date: March 7, 2025 Company name: Societatea Nationala de Gaze Naturale Romgaz S.A. Address: Medias, 4 Constantin I. Motas Square, Sibiu County - Romania, 551130 Phone/fax no: 004-0374-401020 / 004-0269-846901 Fiscal Code: RO14056826 LEI Code: 2549009R7KJ38D9RW354 Trade Register registration number: J32/392/2001 Subscribed and paid in share capital: 3,854,224,000 RON Regulated market where the issued securities are traded: Bucharest Stock Exchange (BVB)

Significant event to be reported:

· Term deposit opened with Exim Banca Romaneasca S.A.

In compliance with Article 108 of Law 24/2017 on Issuers of Financial Instruments and Market Operations, republished, and Article 234 paragraph 1, item i) of the F.S.A. Regulation No. 5/2018 on Josuers of Financial Instruments and Market Operations, S.N.G.N. ROMGAZ S.A reports transactions concluded with affiliates based on the request for opening a term deposit without auto-renewal option, with the ios rrest rate negotiated on March 7, 2025, in amount of RON 60,000,000.00, due on June 16, 2025.

The interest rate applied to the above mentioned deposit is 5.97% per year.

We mention that, S.N.G.N ROMGAZ S.A has had deposits at Exim Banca Romaneasca S.A. with a cumulative value over 12 months exceeding the materiality threshold of 5% of the net asset value, and 10% of the rre turnover related to 2023 financial year. Some of these deposits matured before March 7, 2025.

Enclosed: Report on deposits opened with Exim Banca Romaneasca S.A. as of March 7, 2025.

Chief Financial Officer, Gabriela TRANBITAS

Teac

T: 004-0374 - 401020 ි: 004-0269-846901 E: [email protected]

  1. Medias Piața C.I. Motaș, nr.4 Jud. Sibiu – România Capital social: 3.854.224.000 lei CIF: RO 14056826 Nr.ord.reg.com: J32/392/2001

Annex 1 Report on deposits opened with Exim Banca Romaneasca S.A. as of March 7, 2025

ltem Amount Opening Date Maturity Date Interest Rate
1 RON 50,000,000.00 January 15, 2025 March 10, 2025 6.10%
2 RON 50,000,000.00 January 15, 2025 March 17, 2025 6.10%
3 RON 71,820,000.00 January 15, 2025 March 25, 2025 6.10%
4 RON 50,000,000.00 January 17, 2025 March 24, 2025 6.10%
5 RON 110,000,000.00 January 17, 2025 March 25, 2025 6.10%
6 RON 50,000,000.00 January 17, 2025 March 31, 2025 6.10%
7 RON 200,000,000.00 February 03, 2025 March 17, 2025 6.05%
8 RON 50,000,000.00 February 10, 2025 March 17, 2025 5.80%
9 RON 40,000,000.00 February 10, 2025 April 14, 2025 6.00%
10 RON 210,000,000.00 February 17, 2025 April 14, 2025 6.03%
11 RON 230,000,000.00 February 20, 2025 May 15, 2025 6.05%
12 RON 20,000,000.00 February 25, 2025 April 14, 2025 5.95%
13 RON 70,000,000.00 February 25, 2025 May 15, 2025 6.05%
14 RON 115,000,000.00 February 25, 2025 June 16, 2025 6.10%
15 RON 120,000,000.00 February 27, 2025 June 16, 2025 6.05%
16 RON 60,000,000.00 March 7, 2025 June 16, 2025 5.97%

T: 004-0374 = 401020 F: 004-0269-846901 E: [email protected]

  1. Medias Piața C.1. Motas, nr.4 Jud. Sibiu = Romania

Capital social: 3.854.224.000 lei CHF: RO 12056826 Nr.ord.reg.com: J32/392/2001

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