FUCVREIT: NAV week from 25 May 2022 to 31 May 2022
NAV week from 25 May 2022 to 31 May 2022 of Techcom Vietnam REIT Fund as follows:
HOSE
> FUEIP100: NAV 01 Jun 2022 (03/06/2022)
> FUEIP100: Basket of component securities 02 Jun 2022 (03/06/2022)
> FUEVN100: Announcement after exchange trading 01 Jun 2022 (03/06/2022)
> FUEIP100: Announcement after exchange trading 01 Jun 2022 (03/06/2022)
> FUEVN100: Basket of component securities 02 Jun 2022 (03/06/2022)
> FUEVN100: NAV 01 Jun 2022 (03/06/2022)
> FUESSVFL: Announcement after exchange trading 01 Jun 2022 (03/06/2022)
> FUEVFVND: Announcement after exchange trading 01 Jun 2022 (03/06/2022)
> FUEVFVND: NAV 01 Jun 2022 (03/06/2022)
> FUEVFVND: Basket of component securities 02 Jun 2022 (03/06/2022)