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CURRENT REPORT According to the provisions of Article 72 para. (6) of Law no. 24/2017 Date of report: 12 February 2021 Name of issuing entity: SNTGN TRANSGAZ SA MEDIAŞ Headquarters: Mediaș, 1 Constantin I. Motas Square, Sibiu County Telephone/fax number: 0269803333/0269839029 Tax identification code: RO 13068733 Trade Register number: J32/301/2000 Subscribed and paid-up capital: 117.738.440 RON. Regulated market on which issued securities are traded: Bucharest Stock Exchange. REPORTED EVENTS: Reporting holdings over 5% of company share capital Following the notification received from Allianz SE, as a parent company of the group to which the following entities belong: the Private Optional Pension Fund AZT Viitorul Tău, the Private Optional Pension Fund AZT Moderato, the Private Optional Pension Fund AZT Vivace - managed by Allianz Tiriac Pensii Private SAFPP and Allianz Tiriac Asigurări SA, we would like to send you this current report prepared in accordance with the provisions of art. 72 paragraph (6) of Law no. 24/2017 on issuers of financial instruments and market operations, to which we attach the above-mentioned notification. DIRECTOR GENERAL ION STERIAN

Regulated market on which issued securities are traded ...4. Allianz Tiriac Asigurari SA 5. Allianz Tiriac Pensii Pri- vate Societate de admini- strare a fondurilor de pen- sii private

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Page 1: Regulated market on which issued securities are traded ...4. Allianz Tiriac Asigurari SA 5. Allianz Tiriac Pensii Pri- vate Societate de admini- strare a fondurilor de pen- sii private

CURRENT REPORT

According to the provisions of Article 72 para. (6) of Law no. 24/2017

Date of report: 12 February 2021

Name of issuing entity: SNTGN TRANSGAZ SA MEDIAŞ

Headquarters: Mediaș, 1 Constantin I. Motas Square, Sibiu County

Telephone/fax number: 0269803333/0269839029

Tax identification code: RO 13068733

Trade Register number: J32/301/2000

Subscribed and paid-up capital: 117.738.440 RON.

Regulated market on which issued securities are traded: Bucharest Stock Exchange.

REPORTED EVENTS: Reporting holdings over 5% of company share capital

Following the notification received from Allianz SE, as a parent company of the group to which

the following entities belong: the Private Optional Pension Fund AZT Viitorul Tău, the Private

Optional Pension Fund AZT Moderato, the Private Optional Pension Fund AZT Vivace -

managed by Allianz Tiriac Pensii Private SAFPP and Allianz Tiriac Asigurări SA, we would like to

send you this current report prepared in accordance with the provisions of art. 72 paragraph

(6) of Law no. 24/2017 on issuers of financial instruments and market operations, to which we

attach the above-mentioned notification.

DIRECTOR GENERAL

ION STERIAN

Page 2: Regulated market on which issued securities are traded ...4. Allianz Tiriac Asigurari SA 5. Allianz Tiriac Pensii Pri- vate Societate de admini- strare a fondurilor de pen- sii private
Page 3: Regulated market on which issued securities are traded ...4. Allianz Tiriac Asigurari SA 5. Allianz Tiriac Pensii Pri- vate Societate de admini- strare a fondurilor de pen- sii private
Page 4: Regulated market on which issued securities are traded ...4. Allianz Tiriac Asigurari SA 5. Allianz Tiriac Pensii Pri- vate Societate de admini- strare a fondurilor de pen- sii private
Page 5: Regulated market on which issued securities are traded ...4. Allianz Tiriac Asigurari SA 5. Allianz Tiriac Pensii Pri- vate Societate de admini- strare a fondurilor de pen- sii private