Thursday, 05/03/2015 00:00

E1VFVN30: Information after the exchange session updated on Mar 03, 2015

VFM has announced information after the exchange session as follows:

-         Fund name: VFMVN30 ETF

-         Securities code: E1VFVN30

-         Date of exchange: March 03, 2015

-         Basket of component securities for exchange:

No.

Securities Code

Shares Amount

Weighting

I. Securities  

1

BVH

                          310

1.23%

2

CII

                           460

0.89%

3

CSM

                           160

0.68%

4

DPM

                           720

2.41%

5

DRC

                           200

1.26%

6

FLC

                        1,430

1.67%

7

FPT

                        1,310

6.68%

8

GMD

                           470

1.41%

9

HAG

                        2,060

4.94%

10

HCM

                           240

0.80%

11

HPG

                        1,370

6.65%

12

HSG

                           300

1.21%

13

HVG

540

1.23%

14

IJC

                           310

0.42%

15

ITA

                        1,710

1.35%

16

KBC

1,020

1.74%

17

KDC

                           500

2.44%

18

MBB

                        3,020

4.44%

19

MSN

                        1,120

10.18%

20

OGC

                           920

0.52%

21

PPC

                           380

1.01%

22

PVD

                        720

4.35%

23

PVT

                           490

0.72%

24

REE

                           830

2.38%

25

SSI

                           1,170

3.36%

26

STB

                        4,330

8.83%

27

VCB

                        1,260

5.09%

28

VIC

                        2,010

10.54%

29

VNM

                           950

10.69%

30

VSH

                           340

0.49%

 

-         The value of basket of component securities (VND): 947,491,000

-         The value of ETF lot (VND): 951,315,522

-         Difference (VND): 3,824,522

-         Handling plan:

ü      To the investors who ordered to buy ETF certificate: pay money

ü      To the investors who ordered to sell ETF certificate: receive money

Securities are accepted to contribute by cash:

No.

Securities Code

Cash for a share
(VND)

Authorized participant

Reason

1

BVH

37,600

BVSC

Restriction of ownership

2

HCM

31,800

HSC

Treasury shares

 

Others:

Item

Current Period

Previous Period

Difference

Number of lots additionally issued

0

0

0

Number of lots repurchased

0

0

0

Number of fund certificates listed

20,200,000

20,200,000

0

Closing price (VND/ fund certificate)

9,600

9,500

100

NAV

 

 

 

-         of ETF

192,165,735,444

192,589,170,708

-423,435,264

-         of a lot of ETF certificates

951,315,522

953,411,736

-2,096,214

-         of a fund certificate

9,513.15

9,534.11

-20.96

Reference index

627.27

617.05

-10.22

HOSE

Other News

>   E1VFVN30: NAV 03 Mar 2015 (05/03/2015)

>   HRC: Reppointment of Deputy CEO (05/03/2015)

>   TCL: Change of Deputy CEO (05/03/2015)

>   SAM: Board Resolution _ March 03, 2015 (05/03/2015)

>   CSV: Announcement of the first trading date (05/03/2015)

>   HTL: Notice of trading of shares by a related person (05/03/2015)

>   HAH: Announcement of the first trading date (05/03/2015)

>   DCL: Notice of trading of shares by a related person (05/03/2015)

>   BSI: Correction to the notice of trading of shares by a related person (05/03/2015)

>   KDC: Report on Results of trading of shares by an internal shareholder (05/03/2015)

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