Mixed funds BT Euro Clasic

BT Euro Clasic

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Fund unit value evolution for BT Euro Clasic - 2-Iul-20, 10.115 EUR the value of fund unit is displayed with 3 decimals

Past performance of the fund is not a guarantee of future achievements.


BT Euro Clasic is an open-end investment fund mostly for fixed income financial instruments, a maximum level of 40% of assets being invested through the European Union market or other financial instruments. The stock exchange is used in order to optimize medium and long term revenues for our customers. BT Euro Clasic is authorized to invest according to the risk dispersion principle up to 100% of its assets under management in securities and any other financial instrument issued or guaranteed by Romanian central public authorities.

The open-end fund is a product that is addressed to our medium risk profile customers, especially due to the higher level of fixed income financial instruments with obvious lower risk. We invite you to invest in instruments such as: bonds, treasury bills or depositsas well as equity. Investments are made trying to keep the risks associated with them as low as possible and yet if the capital market grows it will allow a better performance of the open-end fund. It must be known before investing that a decline of the stock exchange will have a negative effect on the investment fund. Nevertheless, judging by the range of open-end funds offered by BT Asset Management we consider that BT  Euro Clasic is a medium risk fund which may provide higher returns during the increase of equity market. It must be remembered that investment in fund units represents an opportunity for earnings as well as an assumed risk. Past gains do not represent a guarantee of future performance.

The funds managed by BT Asset Management are targeted towards both individual customers and companies, Romanian and foreign who do not have sufficient information to make a diversified portfolio that can reduce the risks present in operating on capital markets. The advantages of investing in our funds are the quality services we offer to our clients and our diversified portfolio that reduces the risks present in operating on capital markets and maximizes profits.



The open end investment fund BT Euro Clasic is registered underNr.Reg. (ASF) CSC06FDIR/120094/05.05.2015, authorization (ASF) Nr. 68/05.05.2015, with the codeISIN ROFDIN000259.

BT Euro Clasic is registered at US Internal Revenue Service (IRS) with the following Global Intermediary Identification Number (GIIN): 2UZSA2.00008.SF.642

BT Euro Clasic is registered with the LEI code 2549001EYOMFLLU8C731, the entity identification code underlying the global standard (ISO 17442), and identifies uniquely and clearly key information belonging to entities that are involved in financial transactions.

Risk profile

Because operating on the capital market is an important step on the way to becoming an entrepreneur, it is very important to know the usefulness of this product and the full characteristics of the open-end fund BT Euro Clasic. Towards this end, we need to understand the opportunity of investing in products that contain fixed income financial instruments, as well as listed shares. The fixed income instruments give the advantage of high interest rates during recession or economic instability and the stock exchange allow higher revenues during the development of the economic environment. Thus, the deposits assure safety and listed shares may provide growth. BT Euro Clasic offers a resonable balance between safety and risk for all our customers.

Medium level of risk is the main characteristic of BT Euro Clasic, offering a symbolic exposure on listed shares (maximum 40% of asset under management). It is a product optimal for long term saving especially if customers make successive purchases that are also constant over time.

You can find us also on  having as ticker BTCLASC:RO


The unit value of net assets on the date 2-Iul-20
10.115 EUR
The value of the fund unit for the current day is published in the second half of the following working day.
  last 30 days 0.607%
Performance Historical unit value compared to 31.12.2019 -6.421%
  last 365 days -4.701%
  year 2019 4.38%
  Net assets value (EUR): 17,655,809.10
Unit value evolution Historical net assets Number of investors: 682
  Number of fund units: 1,745,530.73

An investment in capital market instruments, including fund units represents an opportunity for earnings, but also a risk. Past gains of the fund do not represent a guarantee of future performance.


BT Euro Clasic, being an investment fund with placements in fixed income financial instruments and listed shares, has the following structure on 2-Iul-20, has the following structure on:
Current account 5.374
Bank deposits 15.064
Listed shares 22.791
Bonds/Municipal bonds 14.225
Corporative bonds 42.491
Other assets, including amounts in transfer 0.054
Top 5 shares placements on 31-07-2015 30-06-2020  
1. Continental AG 1.490%
2. BMW AG 1.450%
3. ING Groep N.V. 1.410%
4. Total SA 1.350%
5. Bayer AG 1.310%


Here you can find all the documents describing the open end fund BT Euro Clasic as well as the forms necessary for current operations.

BT Euro Clasic documents:

   Key Investors Information Document Download

Rules of the Open-End Investment BT Euro Clasic Download

   Prospectus of BT Euro Clasic Download

BT Euro Clasic forms:

   Subscription form Download

   Investment form Download

   Redemption form Download

How to invest


To become an investor in the open-end fund BT Euro Clasic you need to purchase at least one fund unit. The purchase of the fund unit can be made by bank transfer of the amounts wished to be invested. The number of fund units resulted after purchase are assigned during the following working day, when the values of the fund units are also confirmed. Thus, on the investment form is not specified the purchased number of fund units, but the amount invested.

BT Euro Clasic has no purchasing fee.

You can become an investor in the following ways:

Banca Transilvania:

The purchase of fund units can be made from any branch of Banca Transilvania in the country through bank transfer to the account of BT EURO CLASIC.

BT Asset Management SAI:

If you desire to purchase investment funds directly from the asset manager, BT Asset Management SAI SA is reachable in Cluj-Napoca, Emil Racovita Street, no.22, starting with Monday untill Friday from 8:30-17:30.


Banca Transilvania customers may use BT24/mobile banking service to purchase fund units after initially applying for the desired fund in any Banca Transilvania branch.

In the case of future purchases of fund units, made by bank transfer from Banca Transilvania or any other bank, including electronic bank transfer, for investors who have adhered to the fund and have signed for future purchases (via a form available since 18.05.2009), the completion and signing of a Purchase Form is NOT compulsory, investors having the obligation of completing -under the "Explanations" header on the purchase form, their identification data (the investment account number opened with the Fund, name of holder/empowered person, fund name), starting with the investment account number number of investment accounts. If the payment order forms are not properly completed, BT Asset Management SAI does not take responsibility for any eventual delays in the allocation of fund units.

The price of purchase is the price valid on the date that the money is received in the Fund's account.


Do you wish to redeem your investment? Nothing could be simpler.

The fund units can be redeemed at any one of the branches of Banca Transilvania in the country as well as through bank transfer requested through BT 24/mobile banking. The payment is made according to the Prospectus in term of 10 working days, but usually the process takes about 2 working days. When redeeming, the requested amount must be specified, the exact number of fund units being computed by BT Asset Management on the first working day after the procedure.

If you do not have the time to visit a branch of the bank, you always have the opportunity of completing, signing and stamping the Redemption Form and transmitting a copy of it to us via fax (0264 410433) as well as in its original form, together with a copy of your identification document. The fax number must be the one declared at the adhesion to the fund to be used for further communication.

Contact us now!


0264 410 433, 0374 097 433