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Prospect OTP Green Energy - Bursa de valori Bucure?ti

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PROSPECT DE OFERTA PUBLICA<br />

(2) Ac<strong>ti</strong>vitatea principala este <strong>de</strong> administrare a organismelor <strong>de</strong> plasament colec<strong>ti</strong>v in <strong>valori</strong><br />

mobiliare si a altor organisme <strong>de</strong> plasament colec<strong>ti</strong>v, cu respectarea condi<strong>ti</strong>ilor din legisla<strong>ti</strong>a<br />

pietei <strong>de</strong> capital, iar aceasta ac<strong>ti</strong>vitate inclu<strong>de</strong> toate ac<strong>ti</strong>vita<strong>ti</strong>le conexe administrarii<br />

portofoliilor colec<strong>ti</strong>ve la care face referire art. 55 alin. 1 din Legea pietei <strong>de</strong> capital.<br />

(3) In condi<strong>ti</strong>ile stabilite <strong>de</strong> lege, Societatea poate <strong>de</strong>sfasura urmatoarele ac<strong>ti</strong>vita<strong>ti</strong>:<br />

a) administrarea portofoliilor individuale <strong>de</strong> inves<strong>ti</strong><strong>ti</strong>i, inclusiv cele <strong>de</strong><strong>ti</strong>nute <strong>de</strong> fondurile <strong>de</strong><br />

pensii, pe baza discre<strong>ti</strong>onara, conform mandatelor date <strong>de</strong> inves<strong>ti</strong>tori, in cazul in care<br />

aceste portofolii includ unul sau mai multe instrumente financiare <strong>de</strong>finite la art. 2 alin.<br />

(1) pct. 11 din Legea pietei <strong>de</strong> capital.<br />

b) consultanta <strong>de</strong> inves<strong>ti</strong><strong>ti</strong>i privind unul sau mai multe instrumente financiare, <strong>de</strong>finite la<br />

art. 2 alin. (1) pct. 11 din Legea pietei <strong>de</strong> capital.<br />

(4) Domeniul principal <strong>de</strong> ac<strong>ti</strong>vitate al Societa<strong>ti</strong>i este: Ac<strong>ti</strong>vitate <strong>de</strong> administrare a fondurilor–<br />

COD CAEN 663. Ac<strong>ti</strong>vitatea principala a Societa<strong>ti</strong>i consta in: Ac<strong>ti</strong>vita<strong>ti</strong> <strong>de</strong> administrare a<br />

fondurilor– COD CAEN 6630, sau astfel cum aceasta ac<strong>ti</strong>vitate va fi codificata in viitor.<br />

(5) Obiectele secundare <strong>de</strong> ac<strong>ti</strong>vitate ale Societa<strong>ti</strong>i sunt:<br />

a) Ac<strong>ti</strong>vita<strong>ti</strong> <strong>de</strong> intermediere a tranzac<strong>ti</strong>ilor financiare - COD CAEN 6612;<br />

b) Ac<strong>ti</strong>vita<strong>ti</strong> auxiliare intermedierilor financiare, exclusiv ac<strong>ti</strong>vita<strong>ti</strong> <strong>de</strong> asigurari si fonduri <strong>de</strong><br />

pensii - COD CAEN 6619.<br />

<strong>OTP</strong> Asset Management Romania SAI SA a lansat la data <strong>de</strong> 07.04.2008 trei fonduri <strong>de</strong>schise <strong>de</strong><br />

inves<strong>ti</strong><strong>ti</strong>i:<br />

1. Fondul <strong>de</strong> ac<strong>ti</strong>uni <strong>OTP</strong> Avan<strong>ti</strong>sRO cu un capital ini<strong>ti</strong>al <strong>de</strong> 9.180.000 RON, o valoare ini<strong>ti</strong>ala a<br />

unita<strong>ti</strong>i <strong>de</strong> 10 RON, autorizat prin Decizia CNVM nr. 376/27.02.2008 si inscris in registrul CNVM<br />

cu numarul CSC06FDIR/400050. Depozitarul fondului este Banca Comerciala Romana.<br />

<strong>OTP</strong> Avan<strong>ti</strong>sRO are ca poli<strong>ti</strong>ca <strong>de</strong> inves<strong>ti</strong><strong>ti</strong>i plasarea resurselor prepon<strong>de</strong>rent in ac<strong>ti</strong>uni, restul<br />

ac<strong>ti</strong>velor fiind inves<strong>ti</strong>te in instrumente cu venit fix (ex. obliga<strong>ti</strong>uni, <strong>ti</strong>tluri <strong>de</strong> stat), instrumente<br />

ale pietei monetare si alte instrumente financiare. Plasamentele Fondului sunt orientate in<br />

propor<strong>ti</strong>e <strong>de</strong> pana la 95% in ac<strong>ti</strong>uni, precum si in obliga<strong>ti</strong>uni, <strong>de</strong>pozite bancare, cont curent,<br />

<strong>ti</strong>tluri <strong>de</strong> par<strong>ti</strong>cipare la alte fonduri. Obiec<strong>ti</strong>vul Fondului il reprezinta ob<strong>ti</strong>nerea unor randamente<br />

superioare pe termen mediu si lung, beneficiind <strong>de</strong> minimizarea costurilor <strong>de</strong> tranzac<strong>ti</strong>onare,<br />

datorita volumului ridicat <strong>de</strong> ac<strong>ti</strong>ve administrate. Prin poli<strong>ti</strong>ca sa <strong>de</strong> inves<strong>ti</strong><strong>ti</strong>i, fondul se<br />

adreseaza cu preca<strong>de</strong>re inves<strong>ti</strong>torilor dispusi sa isi asume un nivel <strong>de</strong> risc mediu spre ridicat al<br />

inves<strong>ti</strong><strong>ti</strong>ei, urmarind ob<strong>ti</strong>nerea unui cas<strong>ti</strong>g <strong>de</strong> capital in condi<strong>ti</strong>ile unor fluctua<strong>ti</strong>i semnifica<strong>ti</strong>ve.<br />

Rentabilitatea Fondului se raporteaza la indicele compozit al Bursei <strong>de</strong> Valori <strong>Bucure</strong>s<strong>ti</strong>, BET-C,<br />

(in propor<strong>ti</strong>e <strong>de</strong> 80%) si indicele ratei dobanzii interbancare ROBID la un an, publicat <strong>de</strong> Banca<br />

Na<strong>ti</strong>onala a Romaniei (in propor<strong>ti</strong>e <strong>de</strong> 20%).<br />

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