Tuesday, 13/09/2011 22:47

VFMVF1: NAV from 01 Sep 2011 to 08 Sep 2011

NAV from 01 Sep 2011 to 08 Sep 2011 of Vietnam Securities Investment Fund (HOSE: VFMVF1) as follows:

 

 

 

By VND

No.

Items

Current period

Previous period

8-Sep-2011

1-Sep-2011

1

Changes in NAV due to investment activities in week

 8,753,970,923

 84,506,325,041

2

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

 

 -

3

Total changes in NAV (1+2)

 8,753,970,923

 84,506,325,041

4

Beginning NAV

 1,655,030,113,958

1,570,523,788,917

5

Ending NAV

 1,663,784,084,881

1,655,030,113,958

6

NAV per unit (*)

 16,638

 16,550

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

HOSE

Other News

>   VFMVF4: NAV from 01 Sep 2011 to 08 Sep 2011 (13/09/2011)

>   VFMVFA: NAV from 01 Sep 2011 to 08 Sep 2011 (13/09/2011)

>   TAS: Board Resolution (13/09/2011)

>   TLC: Annual General Meeting of Shareholders 2011 notice (13/09/2011)

>   VDSC closes down Sai Gon Branch (14/09/2011)

>   APC: QII/2011 Business Explanation (13/09/2011)

>   REE: REE withdraws capital in RNG (13/09/2011)

>   CII: Total revenue of 2011 second half expectation (13/09/2011)

>   UDC: Resolution of the BOD (13/09/2011)

>   TST: QII/2011 consolidated FS explanation (13/09/2011)

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