VFMVF1: NAV from 06 Oct 2011 to 13 Oct 2011
NAV from 06 Oct 2011 to 13 Oct 2011 of Vietnam Securities Investment Fund (HOSE: VFMVF1) as follows:
By VND
No. |
Items |
Current period |
Previous period |
13-Oct-2011 |
6-Oct-2011 |
I |
Beginning NAV |
1,582,832,227,015 |
1,595,829,830,443 |
II |
Changes in NAV in week |
(33,511,238,641) |
(12,997,603,428) |
In which: |
|
|
1 |
Changes in NAV due to investment activities in week |
(33,511,238,641) |
(12,997,603,428) |
2 |
Changes in NAV due to trading activities between the fund and investors |
|
- |
III |
Ending NAV |
1,549,320,988,374 |
1,582,832,227,015 |
IV |
NAV per unit (*) |
15,493 |
15,828 |
(*) based on a total of 100,000,000 units.
HOSE
|