The Fund's investment objective is long term capital appreciation via investments primarily in Romanian equities with strict adherence to the principles of value investing. The portfolio is heavily weighted in the Infrastructure and Salt mining sectors (77% of NAV) through a number of listed and unlisted, privately-held and State-controlled entities.
This section gives you an overview on the Fund's portfolio and on the evolution of the monthly Net Asset Value/ share.
[name] | [value] |
---|---|
Infrastructure |
|
Salt mining |
|
Aluminium |
|
Power utilities: generation |
|
Others |
|
Net Cash and receivables* |
|
*Net cash and receivables includes bank deposits, current bank accounts, short-term Government securities, dividend receivables, as well as other receivables and assets, net of all liabilities (including liabilities to shareholders related to the returns of capital and dividend distribution) and provisions.
[name] | [value] |
---|---|
Listed Equities |
|
Unlisted Equities |
|
Net Cash and receivables* |
|
*Net cash and receivables includes bank deposits, current bank accounts, short-term Government securities, dividend receivables, as well as other receivables and assets, net of all liabilities (including liabilities to shareholders related to the returns of capital and dividend distribution) and provisions.
NAV/share (RON) | 0.6618* |
---|---|
Share Price (RON) | 0.3256** |
Discount | -50.80% |
NAV/share (USD) | 0.1404* |
GDR Price (USD) | 3.30** |
Discount | -52.99% |
*This is the NAV / share as at 31 October 2024.
**Trading data 15 min delay.