VFMVFA: NAV from 14 Jun 2012 to 21 Jun 2012
NAV from 14 Jun 2012 to 21 Jun 2012 of Vietnam Active Fund (VFMVFA) as follows:
By VND No. ITEMS CURRENT PERIOD PREVIOUS PERIOD 21-Jun-2012 14-Jun-2012 I Beginning NAV 173.935.612.503 174.922.124.831 II Changes in NAV in week 2.663.114 (986.512.328) In which: 1 Changes in NAV due to investment activities in week 2.663.114 (986.512.328) 2 Changes in NAV due to trading activities between the fund and investors - III Ending NAV 173.938.275.617 173.935.612.503 IV NAV per unit (*) 7.234 7.234 (*) based on a total of 24,043,760 units.
By VND
No.
ITEMS
CURRENT PERIOD
PREVIOUS PERIOD
21-Jun-2012
14-Jun-2012
I
Beginning NAV
173.935.612.503
174.922.124.831
II
Changes in NAV in week
2.663.114
(986.512.328)
In which:
1
Changes in NAV due to investment activities in week
2
Changes in NAV due to trading activities between the fund and investors
-
III
Ending NAV
173.938.275.617
IV
NAV per unit (*)
7.234
(*) based on a total of 24,043,760 units.
HOSE
> VFMVF1: NAV from 14 Jun 2012 to 21 Jun 2012 (26/06/2012)
> LO5: Explanation for difference in financial statement Year 2011 before and after auditing (26/06/2012)
> STL: Explanation for difference in financial statement Year 2011 before and after auditing (26/06/2012)
> VSH: Explanation for business results in Quarter 1.2012 (26/06/2012)
> SFI: Explanation for business result in QI/2012 (26/06/2012)
> EBS: Results of Annual General Meeting of Shareholders 2012 (25/06/2012)
> VNF: Results of Annual General Meeting of Shareholders 2012 (25/06/2012)
> BVG: 2012.Quarter I_ Financial Statement (consolidated) (25/06/2012)
> CMS: 2012.Quarter I_ Financial Statement (consolidated) (25/06/2012)
> CTA: 2012.Quarter I_ Financial Statement (consolidated) (25/06/2012)