I want to be contacted!

Information required for registration: Name, E-mail or Phone.

Produse investitionale

FIA DCP INVESTITII

Closed-end investment Fund DCP Investitii is included in the category Other Collective Undertakings/Alternative Investment Fund ( A.I.F) with a diversified investment policy publicly attracting financial resources. The objective of the Fund is the acquirement of such superior returns through an active investment policy that mostly aims for Romanian financial markets and particularly for the regulated securities market.

FIA DCP Investitii was registered by the Romanian National Securities Commission with Notice no. 41/13.11.2012 and registered under no. CSC08FIIR/400030 with the Financial Supervisory Authority  Registry. The fund depository is BRD - Groupe Societe Generale S.A.

Who is the fund directed to?

The fund is directed towards individuals and legal entities that are willing to undertake high investment risk, specific to stock market investments.

Costs:

  • Buying rate: 0.11%
  • Redemption rate: 0%
  • Management fee: maximum 0.2% per month and minimum 0.02% per month, being applied to the average monthly net asset value of the Fund; this commission is included in the fund unit value;

Recommended investment period

Investors are recommended to place their financial investment for at least 60 months.

For more details, please read the Fund Documents or call us at (+4) 021 361 78 21.

PROCUREMENT (Accession)

In order to become an investor, the Underwriting form must be filled in at the SAI Atlas Asset Management SA headquarters in Bucharest.

Attention! The fund units are offered for underwriting on the last day of the month. If the last day of the month is a non-business days, the fund units will be offered for underwriting on the following business day at the fund unit value of that business day.

For more details, please read the Fund Documents.

SALE (Redemption)

The redemption of fund units is made based on the redemption form which you must submit in person at our headquarters in Bucharest.

The redemption price is calculated based on the assets on the redemption form registration date. For more details on the fund unit redemption, please read the Issue Prospectus in section “Fund unit redemption”.

Attention! The fund units are redeemed from the Fund's assets  on the last day of each month. If the dates for the redemption are non-working days, the units will be offered for redemption in the next business day at the fund unit value of that business day.

If you have any questions related to the procurement or the redemption of fund units, please call us at +021.361.78.21 or e-mail us at contact@atlas-am.ro

Select period:
NAV:

NAV



AuM


+4 0213 617 821
+4 0213 617 822