VFMVF1: NAV from 13 Aug 2009 to 20 Aug 2009
NAV from 13 Aug 2009 to 20 Aug 2009 of Vietnam Securities Investment Fund (VFMVF1: VF1 Investment Fund):
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|
By VND |
|
No. |
ITEMS |
CURRENT PERIOD |
PREVIOUS PERIOD |
|
|
20-Aug-09 |
13-Aug-09 |
1 |
Changes in NAV due to investment activities in week |
67,334,642,548 |
99,822,510,817 |
2 |
Changes in NAV due to trading activities between the fund and investors |
|
|
3 |
Total changes in NAV (1+2) |
67,334,642,548 |
99,822,510,817 |
4 |
Beginning NAV |
2,424,758,325,425 |
2,324,935,814,608 |
5 |
Ending NAV |
2,492,092,967,973 |
2,424,758,325,425 |
6 |
NAV per unit (*) |
24,921 |
24,248 |
(*) based on a total of 100,000,000 units. |
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hose
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