- The document that reflects, according to the legal provisions in force, the gain/loss in RON recorded in the fiscal year 2018, following the operations of redemption of fund units issued by the investment funds managed by BRD Asset Management S.A.I. TO.
- The gains resulting from the redemption of the fund units are considered, according to the provisions of the Fiscal Code, investment income;
- The portfolio contains consolidated information on the profit/loss for each fund managed by BRD Asset Management S.A.I. for which repurchases were made by the investor. If the investor has repurchased units of fund denominated in EUR, respectively USD, then the gain/loss is converted to RON at the exchange rate communicated by the NBR valid at the date of payment of the redemption amounts and is cumulated with the rest of the gains. / losses, as the case may be, from the other funds.
- The portfolio statement is issued only for individuals.
- According to the legal provisions in force, BRD Asset Management S.A.I. sends to its investor's information on the total gains/losses, for repurchases made during a fiscal year, until January 31 of the current year for the previous year.