VFMVF4: NAV from 13 Sep 2012 to 20 Sep 2012
NAV from 13 Sep 2012 to 20 Sep 2012 of Vietnam Blue-Chips Fund (VF4) as follows:
By VND No. ITEMS CURRENT PERIOD PREVIOUS PERIOD 20-Sep-2012 13-Sep-2012 I Beginning NAV 504.560.371.150 508.814.269.752 II Changes in NAV in week (11.073.389.424) (4.253.898.602) In which: 1 Changes in NAV due to investment activities in week (11.073.389.424) (4.253.898.602) 2 Changes in NAV due to trading activities between the fund and investors - III Ending NAV 493.486.981.726 504.560.371.150 IV NAV per unit (*) 6.119 6.256 (*) based on a total of 80,646,000 units.
By VND
No.
ITEMS
CURRENT PERIOD
PREVIOUS PERIOD
20-Sep-2012
13-Sep-2012
I
Beginning NAV
504.560.371.150
508.814.269.752
II
Changes in NAV in week
(11.073.389.424)
(4.253.898.602)
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
493.486.981.726
IV
NAV per unit (*)
6.119
6.256
(*) based on a total of 80,646,000 units.
HOSE
> VFMVFA: NAV from 13 Sep 2012 to 20 Sep 2012 (26/09/2012)
> VNE: Explanation for financial statements for 6 months (26/09/2012)
> STT: Reminded to submit financial statements (26/09/2012)
> VTS: Reviewed financial statement 2012 (25/09/2012)
> VNC: Reviewed financial statement 2012 (consolidated) (25/09/2012)
> CCM: Financial Statement Quarter 2_2012 (consolidated) (25/09/2012)
> CCM: Reviewed financial statement 2012 _holding company (25/09/2012)
> VCS: Financial Statement Quarter 2_2012 (consolidated) (25/09/2012)
> PTI: Explanation for difference in Reviewed Financial Statement Year 2012 before and after auditing (25/09/2012)
> CTA: Explanation for difference in Reviewed Financial Statement Year 2012 before and after auditing (25/09/2012)