FUCTVGF4: NAV week from 21 Oct 2022 to 27 Oct 2022
NAV week from 21 Oct 2022 to 27 Oct 2022 of Thien Viet Growth Fund 4 as follows;
HOSE
> E1VFVN30: Basket of component securities 31 Oct 2022 (01/11/2022)
> E1VFVN30: Announcement after exchange trading 28 Oct 2022 (01/11/2022)
> E1VFVN30: NAV 30 Oct 2022 (01/11/2022)
> FUEDCMID: Announcement after exchange trading 28 Oct 2022 (01/11/2022)
> YEG: Documents to collect shareholders' written opinions (01/11/2022)
> FUCTVGF3: NAV week from 21 Oct 2022 to 27 Oct 2022 (01/11/2022)
> TCM: Approved the transaction with related party (01/11/2022)
> FUEKIVFS: Announcement of the first trading date (31/10/2022)
> VCB: Information on the FS Q3.2022 via the website (31/10/2022)
> CCI: BOD resolution dated October 28, 2022 (31/10/2022)