FUCTVGF2: NAV week from 10 Sep 2021 to 16 Sep 2021
NAV week from 10 Sep 2021 to 16 Sep 2021 of Thien Viet Growth Fund 2 as follows;
HOSE
> FUEVN100: Announcement after exchange trading 17 Sep 2021 (21/09/2021)
> FUEVN100: NAV 19 Sep 2021 (21/09/2021)
> FUEVN100: Basket of component securities 20 Sep 2021 (21/09/2021)
> CTCB2101: List of holders on the expiry date (21/09/2021)
> FUESSVFL: Basket of component securities 20 Sep 2021 (21/09/2021)
> FUEVFVND: Basket of component securities 20 Sep 2021 (21/09/2021)
> FUESSVFL: NAV 19 Sep 2021 (21/09/2021)
> FUEVFVND: Announcement after exchange trading 17 Sep 2021 (21/09/2021)
> FUEVFVND: NAV 19 Sep 2021 (21/09/2021)
> FUESSV30: Announcement after exchange trading 17 Sep 2021 (21/09/2021)