Saturday, 05/11/2011 19:34

VFMVFA: NAV from 13 Oct 2011 to 20 Oct 2011

NAV from 13 Oct 2011 to 20 Oct 2011 of Vietnam Active Fund (HOSE: VFMVFA) as follows:

   By VND 

No.

 

Items

 

Current period

Previous period

20-oct-2011

13-oct-2011

I

Beginning NAV

 183.037.008.280

 186.613.341.247

II

Changes in NAV in week

 (2.615.296.407)

 (3.576.332.967)

In which:

 

 

1

Changes in NAV due to investment activities in week

 (2.615.296.407)

 (3.576.332.967)

2

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

 

 

 

 

 -

III

Ending NAV

 180.421.711.873

 183.037.008.280

IV

NAV per unit (*)

 7.504

 7.613

(*) based on a total of 24,043,760 units.

HOSE

Other News

>   CII: CII transfers investment capital (05/11/2011)

>   PTC: Business situation until 30 Sep 2011 (05/11/2011)

>   VTB: Explanation for business result in QIII/2011 (24/10/2011)

>   VNG: Resolution of the BOD (24/10/2011)

>   VKP: Explanation for business result in QIII/2011 (24/10/2011)

>   IVS: Adjustment on business plan of 2011 (25/10/2011)

>   SAM: Resolution of the BOD (05/11/2011)

>   SD7: Establishment of new branch (22/10/2011)

>   CSM: Resolution of the BOD (05/11/2011)

>   CMV: Explanation for business result in QIII/2011 (25/10/2011)

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