Wednesday, 26/08/2009 17:12

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):

 

 

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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>   STP: Notice of transaction of Directors, PDMR (Mr. Tam) (25/08/2009)

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