Overview of Fondul Proprietatea’s December 2019 NAV

Fondul reported a total NAV of RON 11.87bn (EUR 2.48bn), (+23% YoY) which translates into a NAV per share of RON 1.7339 (+16.2% YoY).

According to the latest NAV report (31 December 2019), Fondul reported a total NAV of RON 11.87bn (EUR 2.48bn), which translates into a NAV per share of RON 1.7339. When comparing it to the same period last year, their NAV increased by 16.2%, while NAV per share increased by 23%. Meanwhile, when comparing MoM, Fondul’s NAV and NAV per share both increased by roughly 10%.

Such a high increase in monthly NAV could arguably be attributed to the revalorization of their largest holding, Hidroelectrica, by roughly RON 0.74bn

When observing the portfolio structure, it remains traditionally oriented towards the power, oil and gas sectors, whereby the two largest holdings, Hidroelectrica and OMV Petrom account for 62.49% of the total NAV.

Furthermore, when compared to the same period last year, the Fund increased their listed equities (+ 2.95 p.p.), while their net cash & receivables decreased by 0.94 p.p. Meanwhile, Fondul’s exposure to unlisted equities decreased by 2 p.p. accounting for 70.46% of the portfolio.

Turning our attention towards the share’s price performance, as of 15 January, the share price amounted to RON 1.225, marking a 47,6% increase YoY. The discount to NAV per share decreased by 12.2 p.p. YoY and currently stands at 27.6%.

InterCapital
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