Tuesday, 05/11/2013 14:48

MAFPF1: NAV from 24 Oct 2013 to 31 Oct 2013

NAV from 24 Oct 2013 to 31 Oct 2013 of Manulife Progressive Fund (MAFPF1) as follows:

 

 

 

By VND

No.

DESCRIPTION

CURRENT PERIOD

PREVIOUS PERIOD

31-Oct-2013

24-Oct-2013

A

Net asset value (NAV)

A.1

Beginning NAV

 of fund

     196.311.542.256

  195.972.580.434

 of a fund certificate 

                       9.169

                    9.154

A.2

 Ending NAV

of fund

     195.064.338.124

  196.311.542.256

of a fund certificate

                       9.111

                    9.169

A.3

Change in NAV on a fund certificate, including:

                           (58)

                         15

Change in NAV due to investment activities in week

                           (58)

                         15

Change in NAV due to fund's income distribution made to investors

                             -  

                          -  

A.4

High/ Low NAV in 52 weeks

High NAV in 52 weeks (VND)

     200.005.803.900

  200.005.803.900

Low NAV in 52 weeks (VND)

     136.023.017.850

  136.023.017.850

 

 

B

Market price (close price on the date of report) of a fund certificate

B.1

Beginning market price

                       7.400

                    7.200

B.2

Ending market price

                       7.500

                    7.400

B.3

Change compared with the previous period

                          100

                       200

B.4

Difference between market price and NAV of a fund certificate

Difference amount (VND) (*)

                      (1.611)

                   (1.769)

Difference ratio (%)  (**)

-17,68%

-19,29%

B.5

High/ Low market price in 52 weeks

High market price (VND)

                       7.600

                    7.600

Low market price (VND)

                       3.300

                    3.300

 

 

 

 

Note:

(*) = (Market price - NAV at the same time) 

 

 

 

(**) = (Market price - NAV at the same time) / NAV at the same time 

 

HOSE

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