VFMVFA: NAV from 24 Jan 2013 to 31 Jan 2013 NAV from 24 Jan 2013 to 31 Jan 2013 of Vietnam Active Fund (VFMVFA) as follows:
|
|
By VND |
|
No. |
ITEMS |
CURRENT PERIOD |
PREVIOUS PERIOD |
31-Jan-2013 |
24-Jan-2013 |
I |
Beginning NAV |
173,058,698,070 |
172,808,184,546 |
II |
Changes in NAV during the week |
245,405,906 |
250,513,524 |
In which: |
|
|
1 |
Changes in NAV due to investment activities in week |
245,405,906 |
250,513,524 |
2 |
Changes in NAV due to distributing fund's income to investors |
|
- |
III |
Ending NAV |
173,304,103,976 |
173,058,698,070 |
IV |
NAV per unit (*) |
7,208 |
7,198 |
(*) based on a total of 24,043,760 units. |
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|
HOSE
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