Wednesday, 25/08/2010 17:42

PRUBF1: NAV from 12 Aug 2010 to 19 Aug 2010

NAV from 12 Aug 2010 to 19 Aug 2010 of Prudential Balanced Fund:

 

NAV per unit - 05 - Aug - 2010 : VND8.237

 

 

 

NAV per unit

 

 

Curent Period

Compared with Previous Period

5-Aug-2010

                           8,237

0.49%

 

Details:

 

 

 

 

 

By VND

No.

 

ITEMS

 

CURRENT PERIOD

PREVIOUS PERIOD

19-Aug-2010

12-Aug-2010

1

Changes in NAV due to investment activities in week

             2,012,525,918

          (20,290,837,385)

2

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

 

 

3

Total changes in NAV (1+2)

             2,012,525,918

          (20,290,837,385)

4

Beginning NAV

         409,856,495,807

         430,147,333,192

5

Ending NAV

         411,869,021,725

         409,856,495,807

6

NAV per unit

                           8,237

                           8,197

 hose

Other News

>   PVE: Result of transactions of Directors, PDMR (Mr. Hai) (25/08/2010)

>   PVX: Notice of transaction of Directors, PDMR (Mr. Minh) (25/08/2010)

>   MAFPF1: NAV from 12 Aug 2010 to 19 Aug 2010 (25/08/2010)

>   VNI: Trading result of inside shareholder (25/08/2010)

>   VNI: Trading result of affiliated institution (25/08/2010)

>   TMT: Trading result of affiliated person (25/08/2010)

>   TMT: Trading result of affiliated institution (25/08/2010)

>   PGS: Notice of transaction of connected person (Mr. Tuan) (25/08/2010)

>   TDH: Transaction of inside shareholder (25/08/2010)

>   TDH: Trading result of affiliated institution (25/08/2010)

Online Services
iDragon
Place Order

Là giải pháp giao dịch chứng khoán với nhiều tính năng ưu việt và tinh xảo trên nền công nghệ kỹ thuật cao; giao diện thân thiện, dễ sử dụng trên các thiết bị có kết nối Internet...
User manual
Updated version