VFMVF1: NAV from 08 Nov 2012 to 15 Nov 2012
NAV from 08 Nov 2012 to 15 Nov 2012 of Vietnam Securities Investment Fund (VF1) as follows:
By VND No. ITEMS CURRENT PERIOD PREVIOUS PERIOD 15-Nov-2012 8-Nov-2012 I Beginning NAV 1.448.034.435.443 1.463.452.124.197 II Changes in NAV during the week 22.343.457.985 (15.417.688.754) In which: 1 Changes in NAV due to investment activities in week 22.343.457.985 (15.417.688.754) 2 Changes in NAV due to distributing fund's income to investors - III Ending NAV 1.470.377.893.428 1.448.034.435.443 IV NAV per unit (*) 14.704 14.480 (*) based on a total of 100,000,000 units.
By VND
No.
ITEMS
CURRENT PERIOD
PREVIOUS PERIOD
15-Nov-2012
8-Nov-2012
I
Beginning NAV
1.448.034.435.443
1.463.452.124.197
II
Changes in NAV during the week
22.343.457.985
(15.417.688.754)
In which:
1
Changes in NAV due to investment activities in week
2
Changes in NAV due to distributing fund's income to investors
-
III
Ending NAV
1.470.377.893.428
IV
NAV per unit (*)
14.704
14.480
(*) based on a total of 100,000,000 units.
HOSE
> VFMVF4: NAV from 08 Nov 2012 to 15 Nov 2012 (20/11/2012)
> VFMVFA: NAV from 08 Nov 2012 to 15 Nov 2012 (20/11/2012)
> SIC: Dissolution of Song Da IDC Ha Noi Branch (19/11/2012)
> SDB: Explanation for the change of over 10% in operating result in QIII.2012 (19/11/2012)
> PVI: Financial Statement Quarter 3/2012 (holding company) (19/11/2012)
> PVG: Financial Statement Quarter 3/2012 (19/11/2012)
> PVA: Financial Statement Quarter 3/2012 (19/11/2012)
> VFC: Explanation for business result in Quarter 3/2012 (19/11/2012)
> DIG: Explanation for business result in Quarter 3.2012 (Parent Company) (19/11/2012)
> HAG: Explanation for business results in Quarter 3/2012 (parent company) (19/11/2012)