News

Publish Date
Title
17/01/2013 Financial Calendar 2013
15/01/2013 December 2012 Factsheet
15/01/2013 Impact on December 2012 net asset value calculationľfollowing the entering into force of Regulation no. 11/2012 issued by the Romanian National Securities Commission
15/01/2013 Update on all litigations between a Litigant shareholder and the Fund with Annex
15/01/2013 31 December 2012 NAV report
11/01/2013 Shareholders structure & totalľnumber of voting rights as at 31 December 2012
21/12/2012 Changes to the Funds net asset value (NAV) calculation methodology and other provisions adopted by the National Securities Commission
21/12/2012 Update on all litigations between a Litigant shareholder and the Fund
20/12/2012 Update on all litigations between a Litigant shareholder and the Fund
17/12/2012 Update on all litigations between a Litigant shareholder and the Fund
14/12/2012 November 2012 Factsheet
14/12/2012 30 November 2012 NAV report
13/12/2012 Fondul Proprietatea expresses disappointment towards inadequate implementation of corporate governance legislation
13/12/2012 Update on all litigations between a Litigant shareholder and the Fund
07/12/2012 Shareholders structure & totalľnumber of voting rights as at 30 November 2012
06/12/2012 Update on all litigations between a Litigant shareholder and the Fund
05/12/2012 Update on all litigations between Ioana Sfîraiala (the "Litigant”) and the Fund
04/12/2012 Hidroelectrica Judicial Administrator’s report - October 2012
04/12/2012 Hidroelectrica 2011 IFRS Financial statements
26/11/2012 Update on all litigations between a Litigant shareholder and the Fund

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