Wednesday, 28/07/2010 15:28

VFMVF1: NAV from 15 Jul 2010 to 22 Jul 2010

NAV from 15 Jul 2010 to 22 Jul 2010 of Vietnam Securities Investment Fund (VF1 Investment Fund):

 

 

 

By VND

No. 

ITEMS

CURRENT PERIOD

PREVIOUS PERIOD

22-Jul-2010

15-Jul-2010

1

Changes in NAV due to investment activities in week

 (30,340,395,267)

  25,541,214,496

2

Changes in NAV due to trading activities between the fund and investors

 

                                 -  

3

Total changes in NAV     (1+2)

 (30,340,395,267)

  25,541,214,496

4

Beginning NAV

 2,435,750,536,274

 2,410,209,321,778

5

Ending NAV

  2,405,410,141,007

 2,435,750,536,274

6

NAV per unit (*)

                         24,054

                        24,358

(*) based on a total of 100,000,000 units.

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