Wednesday, 08/09/2010 17:13

PRUBF1: NAV from 26 Aug 2010 to 02 Sep 2010

NAV from 26 Aug 2010 to 02 Sep 2010 of Prudential Balanced Fund:

 

NAV per unit - 02 - Sep - 2010 : VND8.385

 

 

 

 

 

 

 

NAV per unit

 

 

Curent Period

Compared with Previous Period

2-Sep-2010

8,385

4.71%

 

Details:

 

 

 

 

 

By VND

No.

ITEMS

CURRENT PERIOD

PREVIOUS PERIOD

2-Sep-2010

26-Aug-2010

1

Changes in NAV due to investment activities in week

18,820,384,688

(11,460,543,240)

2

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

 

 

3

Total changes in NAV (1+2)

18,820,384,688

(11,460,543,240)

4

Beginning NAV

400,408,478,485

411,869,021,725

5

Ending NAV

419,228,863,173

400,408,478,485

6

NAV per unit

8,385

8,008

hose

Other News

>   MAFPF1: NAV from 26 Aug 2010 to 02 Sep 2010 (08/09/2010)

>   ORS: Result of transaction of connected institution (08/09/2010)

>   PGT: Result of transaction of connected person (Mr. Nam) (08/09/2010)

>   PHH: Result of transaction of connected person (Mr. Thinh) (08/09/2010)

>   NVC: Notice of transaction of Directors, PDMR (Mr. Ngoc) (08/09/2010)

>   PGS: Notice of transaction of connected institution (08/09/2010)

>   PVX: Notice of transaction of Directors, PDMR (Mr. Nam) (08/09/2010)

>   AAA: Result of transaction of Directors, PDMR (08/09/2010)

>   C92: Notice of transaction of Directors, PDMR (08/09/2010)

>   CAP: Holding of principal shareholder (08/09/2010)

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