Tuesday, 20/11/2012 10:05

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.

 

 

HOSE

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