| Date | Title | Description |
| 28.11.2022 | ASF Licenses SeedBlink Under ECSPR Outstandingly Speedy | Romanian investment crowdfunding platform SeedBlink got licensed under the ECSPR in accordance with European Law Being governed by the license adds to the platform’s credibility and transparency and brings forth SeedBlink’s pan-European amb... |
| 19.10.2022 | Sparking Capital Cements Leading Position in Romania | Romanian VC fund Sparking Capital is now officially recognized as an alternative investment fund and an alternative investment fund administrator In practice, it doesn’t change anything for the fund’s current and potential portfolio compani... |
| 27.04.2022 | Can Romanian Regulatory Efforts Motivate Startups to Stay? | A legal proposal in Romania is supposed to motivate startups not to leave the country Currently, successful startups have to change jurisdictions because investors are reluctant to invest over EUR 5M under current law The proposal suggests ... |
| 15.02.2022 | Fondul Proprietatea : 31 January 2022 NAV report | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l. Administrator Code: PJM07.1AFIASMDLUX0037 Fund: Fondul Proprietatea SA Fund Code: PJR09... |
| 15.02.2022 | Fondul Proprietatea : NAV as of 31 January 2022 | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l. Administrator Code: PJM07.1AFIASMDLUX0037 Fund: Fondul Proprietatea SA Fund Code: PJR09... |
| 02.02.2022 | Fondul Proprietatea : Update on the Fund's share capital | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to the provisions of Articl... |
| 27.01.2022 | Fondul Proprietatea : celebrates 11 years since its listing on the Bucharest Stock Exchange | Franklin Templeton International Services S.A R.L. Bucharest Branch
Premium Point Building
76-80 Buzesti, 8th floor
Bucharest 011017
Romania
FOR IMMEDIATE DISTRIBUTION: 27 JANUARY 2022
FONDUL PROPRIETATEA CELEBRATES 11 YEARS SINCE ITS LISTI... |
| 27.01.2022 | Fondul Proprietatea : Update on the Fund's buyback programmes | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to the provisions of Articl... |
| 14.01.2022 | Fondul Proprietatea : NAV as of 31 December 2021 | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 03.01.2022 | Fondul Proprietatea : Notification regarding the transactions performed during the buy-back program | FONDUL PROPRIETATEA S.A. Bucharest Stock Exchange Symbol: FP London Stock Exchange Symbol: FP.
___________________________________________________________________________________________________
To: FINANCIAL SUPERVISORY AUTHORITY
BUCHAREST... |
| 27.12.2021 | Fondul Proprietatea : Notification regarding the transactions performed during the buy-back program | ___________________________________________________________________________________________________
To: FINANCIAL SUPERVISORY AUTHORITY
BUCHAREST STOCK EXCHANGE
LONDON STOCK EXCHANGE
Re: Notification regarding the buy-back transactions
From... |
| 16.12.2021 | Fondul Proprietatea : The resolutions of the Extraordinary and Ordinary General Shareholders Meetings held on 15 December 2021 | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 234 para. (1) le... |
| 15.12.2021 | Fondul Proprietatea : 29 November 2021 NAV report | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 15.12.2021 | Fondul Proprietatea : November 2021 Factsheet | MONTHLY REPORT 29 November 2021
FUND DESCRIPTION
Fondul Proprietatea (the Fund) is a joint stock company operating as an Alternative Investment Fund (AIF), incorporated in Romania. The Fund was listed on the Bucharest Stock Exchange on 25 J... |
| 13.12.2021 | Fondul Proprietatea : Notification regarding the transactions performed during the buy-back program | FONDUL PROPRIETATEA S.A. Bucharest Stock Exchange Symbol: FP London Stock Exchange Symbol: FP.
___________________________________________________________________________________________________
To: FINANCIAL SUPERVISORY AUTHORITY
BUCHAREST... |
| 01.12.2021 | Fondul Proprietatea : Notification regarding the transactions performed during the buy-back program | FONDUL PROPRIETATEA S.A. Bucharest Stock Exchange Symbol: FP London Stock Exchange Symbol: FP.
___________________________________________________________________________________________________
To: FINANCIAL SUPERVISORY AUTHORITY
BUCHAREST... |
| 18.11.2021 | Fondul Proprietatea : Financial Results for the Quarter ended 30 September 2021 | FRANKLIN TEMPLETON INTERNATIONAL SERVICES
Bucharest Branch
Premium Point Building
76-80 Buzesti, 8th floor
Bucharest 011017
Romania
FOR IMMEDIATE DISTRIBUTION: 15 NOVEMBER 2021
FONDUL PROPRIETATEA FINANCIAL RESULTS FOR
THE QUARTER ENDED 30 ... |
| 15.11.2021 | Fondul Proprietatea : October 2021 Factsheet | MONTHLY REPORT 29 October 2021
FUND DESCRIPTION
Fondul Proprietatea (the Fund) is a joint stock company operating as an Alternative Investment Fund (AIF), incorporated in Romania. The Fund was listed on the Bucharest Stock Exchange on 25 Ja... |
| 15.11.2021 | Fondul Proprietatea : Q3 2021 Results Presentation | Fondul Proprietatea -
Q3 2021 Results Conference Call
15 November 2021
Fund Information
The Fund - Key Facts
Fund Details1 FP Adjusted Share Price8and Discount/Premium (%)
Fund Details1 RON USD
NAV 12.37 bn 2.91 bn2
NAV/Share 2.1054 0.49572... |
| 15.11.2021 | Fondul Proprietatea : Q3 2021 Results report. | Fondul Proprietatea SA
Quarterly Report
For the Quarter Ended 30 September 2021
(This is a translation from the official Romanian version)
Fondul Proprietatea SA
Contents
List of Abbreviations . . . . . . . . . . . . . . . . . . . . . . . .... |
| 15.11.2021 | Fondul Proprietatea : Prezentare T3 2021 | Fondul Proprietatea -
Q3 2021 Results Conference Call
15 November 2021
Fund Information
The Fund - Key Facts
Fund Details1 FP Adjusted Share Price8 and Discount/Premium (%)
Fund Details1 RON USD
NAV 12.37 bn 2.91 bn2
NAV/Share 2.1054 0.4957... |
| 15.11.2021 | Fondul Proprietatea : 29 October 2021 NAV report | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 15.11.2021 | Fondul Proprietatea : Transaction of the kind listed in Art. 19 of Market Abuse Regulation | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to the provisions of Articl... |
| 12.11.2021 | Fondul Proprietatea : 2021 Quarterly Report 30 September 2021 | Fondul Proprietatea SA
Quarterly Report
For the Quarter Ended 30 September 2021
(This is a translation from the official Romanian version)
Fondul Proprietatea SA
Contents
List of Abbreviations . . . . . . . . . . . . . . . . . . . . . . . .... |
| 08.11.2021 | Notification regarding the transactions performed during the buy-back program | ___________________________________________________________________________________________________
To: FINANCIAL SUPERVISORY AUTHORITY
BUCHAREST STOCK EXCHANGE
LONDON STOCK EXCHANGE
Re: Notification regarding the buy-back transactions
From... |
| 08.11.2021 | 25 October 2021 NAV report | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 27.10.2021 | The approval of the share capital increase of CN Aeroporturi Bucuresti | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 234 para. (1) le... |
| 25.10.2021 | Fondul Proprietatea : Notification regarding the transactions performed during the buy-back program | ___________________________________________________________________________________________________
To: FINANCIAL SUPERVISORY AUTHORITY
BUCHAREST STOCK EXCHANGE
LONDON STOCK EXCHANGE
Re: Notification regarding the buy-back transactions
From... |
| 25.10.2021 | Fondul Proprietatea : Registration with the Trade Registry of the decrease of the subscribed share capital following the cancellation of 797,961,287 treasury shares | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 234 para. (1) le... |
| 18.10.2021 | Fondul Proprietatea : Notification regarding the transactions performed during the buy-back program | ___________________________________________________________________________________________________
To: FINANCIAL SUPERVISORY AUTHORITY
BUCHAREST STOCK EXCHANGE
LONDON STOCK EXCHANGE
Re: Notification regarding the buy-back transactions
From... |
| 15.10.2021 | Fondul Proprietatea : September 2021 Factsheet | MONTHLY REPORT 30 September 2021
FUND DESCRIPTION
Fondul Proprietatea (the Fund) is a joint stock company operating as an Alternative Investment Fund (AIF), incorporated in Romania. The Fund was listed on the Bucharest Stock Exchange on 25 ... |
| 15.10.2021 | Fondul Proprietatea : NAV Report 30 September 2021 | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 08.10.2021 | Fondul Proprietatea : Update regarding significant NAV changes | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 234 para. (1) le... |
| 29.09.2021 | Fondul Proprietatea : 29 September 2021 GSM resolutions | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 234 para. (1) le... |
| 21.09.2021 | Fondul Proprietatea : Process for share capital increase of CN Aeroporturi Bucuresti | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 234 para. (1) le... |
| 15.09.2021 | Fondul Proprietatea : NAV report 31 August 2021 | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 15.09.2021 | Fondul Proprietatea : August 2021 Factsheet | MONTHLY REPORT 31 August 2021
FUND DESCRIPTION
Fondul Proprietatea (the Fund) is a joint stock company operating as an Alternative Investment Fund (AIF) with an unlimited lifetime, incorporated in Romania. The Fund was listed on the Buchare... |
| 13.09.2021 | Fondul Proprietatea : FP Contests Massive Overvaluation of Baneasa Airport land of 3.8 billion lei, 11 times more than the previous valuation | FRANKLIN TEMPLETON INTERNATIONAL SERVICES S.A R.L. LUXEMBOURG, BUCHAREST BRANCH
Premium Point, 76-80Buzeşti Street, 8th Floor, 1st District, Bucharest, 011017, Romania Tel. +40 21 200 96 00 Fax +40 316 300 048
FOR IMMEDIATE DISTRIBUTION: 13... |
| 01.09.2021 | Fondul Proprietatea : Transaction of the kind listed in Art. 19 of Market Abuse Regulation | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to the provisions of Articl... |
| 31.08.2021 | Fondul Proprietatea : Financial Results for H1 2021 | FRANKLIN TEMPLETON INVESTMENT SERVICES
Bucharest Branch
Premium Point Building
76-80 Buzesti, 8th floor
Bucharest 011017
Romania
FOR IMMEDIATE DISTRIBUTION: 31 AUGUST 2021
FONDUL PROPRIETATEA FINANCIAL RESULTS FOR H1 2021
Bucharest, 31 Augu... |
| 13.08.2021 | Fondul Proprietatea : NAV Report 30 July 2021 | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 15.07.2021 | Fondul Proprietatea : NAV Report 30 June 2021 | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 15.07.2021 | Fondul Proprietatea : June 2021 Factsheet | FUND DESCRIPTION
MONTHLY REPORT 30 June 2021
SHARE PRICE (RON) AND DISCOUNT (%) SINCE LISTING ON BVB
Fondul Proprietatea (the Fund) is a joint stock company operating as an Alternative Investment Fund (AIF) with an unlimited lifetime, incor... |
| 15.06.2021 | Fondul Proprietatea : May 2021 Factsheet | FUND DESCRIPTION
MONTHLY REPORT 31 May 2021
SHARE PRICE (RON) AND DISCOUNT (%) SINCE LISTING ON BVB
Fondul Proprietatea (the Fund) is a joint stock company operating as an Alternative Investment Fund (AIF) with an unlimited lifetime, incorp... |
| 15.06.2021 | Fondul Proprietatea : 31 May 2021 NAV Report | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 11.06.2021 | Fondul Proprietatea : Transaction of the kind listed in Art. 19 of Market Abuse Regulation | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to the provisions of Articl... |
| 20.05.2021 | Fondul Proprietatea : Transaction of the kind listed in Art. 19 of Market Abuse Regulation | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to the provisions of Articl... |
| 14.05.2021 | Fondul Proprietatea : April 2021 Factsheet | FUND DESCRIPTION
MONTHLY REPORT 29 April 2021
Please note that the April 2021 NAV is Ex-Dividend
SHARE PRICE (RON) AND DISCOUNT (%) SINCE LISTING ON BVB
Fondul Proprietatea (the Fund) is a joint stock company operating as an Alternative Inv... |
| 14.05.2021 | Fondul Proprietatea : 29 Apr 2021 NAV Report | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 03.05.2021 | Fondul Proprietatea : 2020 Annual Results Report | Fondul Proprietatea SA
Annual Sole Director's Report
For the Financial Year Ended
31 December 2020
This is a translation from the official Romanian version.
This is a PDF version of the official Annual Sole Director's Report issued in the E... |
| 28.04.2021 | FONDUL PROPRIETATEA SA
Fondul Proprietatea : 28 April 2021 Annual OGSM and EGSM full text resolutions | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 234 para. (1) le... |
| 15.04.2021 | Fondul Proprietatea : Information on the conduct of the 28 April 2021 GSM and on the videoconference with shareholders | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 99 letter (s) of... |
| 15.04.2021 | FONDUL PROPRIETATEA SA
Fondul Proprietatea : Information on the conduct of the 28 April 2021 GSM and on the videoconference with shareholders | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 99 letter (s) of... |
| 15.04.2021 | Fondul Proprietatea : 31 March 2021 NAV report | _________________________________________________________________________________
Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09... |
| 15.04.2021 | Fondul Proprietatea : March 2021 Factsheet | FUND DESCRIPTION
MONTHLY REPORT 31 March 2021
SHARE PRICE (RON) AND DISCOUNT (%) SINCE LISTING ON BVB
Fondul Proprietatea (the Fund) is a joint stock company operating as an Alternative Investment Fund (AIF) with an unlimited lifetime, inco... |
| 13.04.2021 | FONDUL PROPRIETATEA SA
Fondul Proprietatea : Board of Nominees Chairperson and the composition of Consultative Committees | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to the provisions of Art. 2... |
| 13.04.2021 | Fondul Proprietatea : Board of Nominees Chairperson and the composition of Consultative Committees | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to the provisions of Art. 2... |
| 06.04.2021 | Fondul Proprietatea : Update regarding the Board of Nominees | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to the provisions of Art. 2... |
| 06.04.2021 | Fondul Proprietatea : Franklin Templeton salutes the contributions of two members of the Fund's Board of Nominees | FRANKLIN TEMPLETON INTERNATIONAL SERVICES
S.A R.L. LUXEMBOURG, BUCHAREST BRANCH
Premium Point, 76-80 Buzeşti Street, 8th Floor, 1st District, Bucharest, 011017, Romania Tel. +40 21 200 96 00 Fax +40 316 300 048
FOR IMMEDIATE DISTRIBUTION: 6... |
| 06.04.2021 | FONDUL PROPRIETATEA SA
Fondul Proprietatea : Update regarding the Board of Nominees | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to the provisions of Art. 2... |
| 17.03.2021 | FONDUL PROPRIETATEA SA
Fondul Proprietatea : Information on the conduct of the 24 March 2021 OGSM | To:Bucharest Stock Exchange Financial Supervisory Authority London Stock Exchange
Report date: 15 March 2021
Name of the issuing entity: Fondul Proprietatea S.A.
Current report according to Article 99 letter (s) of the Code of the Bucharest... |
| 17.03.2021 | Fondul Proprietatea : 26 February 2021 NAV report | Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09SIIR/400006
Reporting date: 26.02.2021
Fondul Proprietatea SA 's Assets and Liabil... |
| 17.03.2021 | Fondul Proprietatea : Information on the conduct of the 24 March 2021 OGSM | To:Bucharest Stock Exchange Financial Supervisory Authority London Stock Exchange
Report date: 15 March 2021
Name of the issuing entity: Fondul Proprietatea S.A.
Current report according to Article 99 letter (s) of the Code of the Bucharest... |
| 17.03.2021 | Fondul Proprietatea : February 2021 Factsheet | MONTHLY REPORT
26 February 2021
FUND DESCRIPTION
Fondul Proprietatea (the Fund) is a joint stock company operating as an Alternative Investment Fund (AIF) with an unlimited lifetime, incorporated in Romania. The Fund was listed on the Bucha... |
| 08.03.2021 | FONDUL PROPRIETATEA SA
Fondul Proprietatea : 2020 Results Presentation | Fund Information
The Fund - Key Facts
Fund Details1
RONUSD
NAV
10.35 bn
2.57 bn2
NAV/Share
Price/Share
1.7216 1.5100
0.42822 0.37552
Price/GDR
Market Capitalization as at 22 February 2021
74.392 9.56 bn
18.50 2.38 bn3
Discount/Share as at 2... |
| 05.03.2021 | Fondul Proprietatea : 2020 financial results | FRANKLIN TEMPLETON INVESTMENT SERVICES
Bucharest Branch Premium Point Building 78-80 Buzesti, 8th floor
Bucharest 011017
Romania
FOR IMMEDIATE DISTRIBUTION: 23 FEBRUARY 2021
T e l : +
4
FONDUL PROPRIETATEA FINANCIAL RESULTS FOR 2020
0 (
0 )... |
| 05.03.2021 | Fondul Proprietatea : 29 January 2021 NAV report | Fund Administrator: Franklin Templeton International Services S.à r.l.
Administrator Code: PJM07.1AFIASMDLUX0037
Fund: Fondul Proprietatea SA
Fund Code: PJR09SIIR/400006
Reporting date: 29.01.2021
Fondul Proprietatea SA 's Assets and Liabil... |
| 05.03.2021 | Fondul Proprietatea : January 2021 Factsheet | MONTHLY REPORT
29 January 2021
FUND DESCRIPTION
Fondul Proprietatea (the Fund) is a joint stock company operating as an Alternative Investment Fund (AIF) with an unlimited lifetime, incorporated in Romania. The Fund was listed on the Buchar... |
| 05.03.2021 | Fondul Proprietatea : FSA endorsement of the amendments to the Constitutive Act | To:Bucharest Stock Exchange Financial Supervisory Authority London Stock Exchange
Current report according Article 99 letter s) of the Code of the Bucharest Stock Exchange, Title II, Issuers and Financial Instruments
Important events to be ... |
| 05.03.2021 | FONDUL PROPRIETATEA SA
Fondul Proprietatea : 2020 Annual Results Report | Fondul Proprietatea SA
Annual Sole Director's Report
For the Financial Year Ended
31 December 2020
This is a translation from the official Romanian version.
This is a PDF version of the official Annual Sole Director's Report issued in the E... |
| 05.03.2021 | Fondul Proprietatea : Composition of Consultative Committees effective 25 March 2021 | ________________________________________________________________________________________________________
To:Bucharest Stock Exchange Financial Supervisory Authority London Stock Exchange
Current report according to the provisions of Art. 23... |
| 07.01.2021 | FONDUL PROPRIETATEA ORD
Fondul Proprietatea S A : Information on the conduct of the 14 January 2021 EGSM | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 99 letter (s) of... |
| 07.01.2021 | Fondul Proprietatea S A : Information on the conduct of the 14 January 2021 EGSM | ________________________________________________________________________________________________________
To: Bucharest Stock Exchange
Financial Supervisory Authority
London Stock Exchange
Current report according to Article 99 letter (s) of... |
| - | Fondul Proprietatea : 2020 Results Presentation | Fund Information
The Fund - Key Facts
Fund Details1
RONUSD
NAV
10.35 bn
2.57 bn2
NAV/Share
Price/Share
1.7216 1.5100
0.42822 0.37552
Price/GDR
Market Capitalization as at 22 February 2021
74.392 9.56 bn
18.50 2.38 bn3
Discount/Share as at 2... |