E1VFVN30: NAV 20 Mar 2015
NAV 20 Mar 2015 of VFMVN30 ETF Fund as follows:
_
HOSE
> E1VFVN30: NAV 22 Mar 2015 (25/03/2015)
> E1VFVN30: Information after the exchange session updated on Mar 20, 2015 (25/03/2015)
> E1VFVN30: Announcement of component securities _ 23 Mar 2015 (25/03/2015)
> E1VFVN30: NAV 23 Mar 2015 (25/03/2015)
> E1VFVN30: Announcement of component securities _ March 24, 2015 (25/03/2015)
> E1VFVN30: Information after the exchange session updated on Mar 23, 2015 (25/03/2015)
> E1VFVN30: NAV 10 Mar 2015 (12/03/2015)
> HOSE: Notification (12/03/2015)
> E1VFVN30: Announcement of component securities _ March 11, 2015 (12/03/2015)
> E1VFVN30: Information after the exchange session updated on Mar 10, 2015 (12/03/2015)