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Prospect OTP Green Energy - Bursa de valori Bucure?ti

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PROSPECT DE OFERTA PUBLICA<br />

2. Fondul diversificat <strong>OTP</strong> BalansisRO cu un capital ini<strong>ti</strong>al <strong>de</strong> 9.180.000 RON, o valoare ini<strong>ti</strong>ala<br />

a unita<strong>ti</strong>i <strong>de</strong> 10 RON, autorizat prin Decizia CNVM nr. 375/27.02.2008 si inscris in registrul<br />

CNVM cu numarul CSC06FDIR/400048. Depozitarul fondului este Banca Comerciala Romana.<br />

<strong>OTP</strong> BalansisRO are ca poli<strong>ti</strong>ca <strong>de</strong> inves<strong>ti</strong><strong>ti</strong>i plasarea ac<strong>ti</strong>velor in instrumente cu venit fix si<br />

respec<strong>ti</strong>v variabil avand ca obiec<strong>ti</strong>v principal cresterea <strong>de</strong> capital si diversificarea portofoliului in<br />

ve<strong>de</strong>rea ob<strong>ti</strong>nerii <strong>de</strong> randamente superioare <strong>de</strong>pozitelor bancare. Plasamentele Fondului sunt<br />

orientate in propor<strong>ti</strong>e <strong>de</strong> pana la 70% in instrumente cu venit fix (obliga<strong>ti</strong>uni, cer<strong>ti</strong>ficate <strong>de</strong><br />

trezorerie), ac<strong>ti</strong>uni, <strong>de</strong>pozite bancare si cont curent. 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, urmarind<br />

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 mo<strong>de</strong>rate. Rentabilitatea Fondului se<br />

raporteaza la indicele Bursei <strong>de</strong> Valori <strong>Bucure</strong>s<strong>ti</strong> BET-C (in propor<strong>ti</strong>e <strong>de</strong> 50%) si indicele ratei<br />

dobanzii interbancare ROBID la un an, publicat <strong>de</strong> Banca Na<strong>ti</strong>onala a Romaniei (in propor<strong>ti</strong>e <strong>de</strong><br />

50%).<br />

3. Fondul monetar <strong>OTP</strong> ComodisRO cu un capital ini<strong>ti</strong>al <strong>de</strong> 7.429.000 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. 377/27.02.2008 si inscris in registrul CNVM<br />

cu numarul CSC06FDIR/400049. Depozitarul fondului este Banca Comerciala Romana. <strong>OTP</strong><br />

ComodisRO are ca poli<strong>ti</strong>ca <strong>de</strong> inves<strong>ti</strong><strong>ti</strong>i plasarea ac<strong>ti</strong>velor cu prepon<strong>de</strong>renta in instrumente cu<br />

venit fix, in ve<strong>de</strong>rea realizarii unui randament stabil, corespunzator unei poli<strong>ti</strong>ci <strong>de</strong> inves<strong>ti</strong><strong>ti</strong>i<br />

care presupune asumarea unor riscuri minime. Astfel, Fondul are ca poli<strong>ti</strong>ca <strong>de</strong> inves<strong>ti</strong><strong>ti</strong>i<br />

plasarea resurselor in <strong>de</strong>pozite bancare, cer<strong>ti</strong>ficate <strong>de</strong> <strong>de</strong>pozit si <strong>ti</strong>tluri <strong>de</strong> stat, pana la un<br />

maxim <strong>de</strong> 100% din ac<strong>ti</strong>vele Fondului si in obliga<strong>ti</strong>uni (corpora<strong>ti</strong>ve, municipale), pana la un<br />

maxim <strong>de</strong> 50% din ac<strong>ti</strong>vele Fondului. Fondul se adreseaza cu preca<strong>de</strong>re persoanelor juridice<br />

care isi doresc o ges<strong>ti</strong>une mai eficienta a lichidita<strong>ti</strong>lor, dar si persoanelor fizice cu apetenta<br />

scazuta la risc. Prin poli<strong>ti</strong>ca sa <strong>de</strong> inves<strong>ti</strong><strong>ti</strong>i, fondul se adreseaza inves<strong>ti</strong>torilor care doresc sa isi<br />

plaseze banii pe termen scurt pentru a ob<strong>ti</strong>ne venituri suplimentare, in condi<strong>ti</strong>i <strong>de</strong> fluctua<strong>ti</strong>e<br />

redusa. Rentabilitatea Fondului se raporteaza la indicele ratei dobanzii interbancare ROBID la 1<br />

luna, publicat <strong>de</strong> Banca Na<strong>ti</strong>onala a Romaniei.<br />

<strong>OTP</strong> Asset Management Romania SAI SA administreaza si doua fonduri inchise <strong>de</strong> inves<strong>ti</strong><strong>ti</strong>i cu<br />

capital garantat:<br />

1. <strong>OTP</strong> Garan<strong>ti</strong>sRO, ce a <strong>de</strong>rulat o oferta publica in perioada 23/06/2008 – 01/08/2008, are o<br />

maturitate <strong>de</strong> 3 ani si o valoare nominala a unita<strong>ti</strong>i <strong>de</strong> fond <strong>de</strong> 1.000 <strong>de</strong> RON. Sumele inves<strong>ti</strong>te<br />

ini<strong>ti</strong>al in Fondul Inchis <strong>de</strong> Inves<strong>ti</strong><strong>ti</strong>i cu capital garantat <strong>OTP</strong> Garan<strong>ti</strong>sRO sunt 100% garantate<br />

prin scrisoare <strong>de</strong> garan<strong>ti</strong>e bancara emisa <strong>de</strong> <strong>OTP</strong> Bank Plc. Ungaria. Ac<strong>ti</strong>vele fondului sunt<br />

inves<strong>ti</strong>te in <strong>de</strong>pozite bancare si in instrumente financiare <strong>de</strong>rivate, avand ac<strong>ti</strong>ve suport ac<strong>ti</strong>uni<br />

emise <strong>de</strong> companii din 11 sectoare <strong>de</strong> ac<strong>ti</strong>vitate precum servicii financiare, bancar,<br />

telecomunica<strong>ti</strong>i, electronice, auto, petrol si gaze naturale, u<strong>ti</strong>lita<strong>ti</strong>, comert, bunuri <strong>de</strong> larg<br />

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