FUCVREIT: NAV week from 21 Feb 2024 to 27 Feb 2024
NAV week from 21 Feb 2024 to 27 Feb 2024 of Techcom Vietnam REIT Fund as follows:
HOSE
> VTB: Approving the transaction with related parties (04/03/2024)
> E1VFVN30: Announcement after exchange trading 27 Feb 2024 (04/03/2024)
> E1VFVN30: NAV 27 Feb 2024 (04/03/2024)
> E1VFVN30: Basket of component securities 29 Feb 2024 (04/03/2024)
> E1VFVN30: Announcement after exchange trading 28 Feb 2024 (04/03/2024)
> FUEBFVND: Basket of component securities 29 Feb 2024 (04/03/2024)
> FUEBFVND: NAV 28 Feb 2024 (04/03/2024)
> FUEBFVND: Announcement after exchange trading 28 Feb 2024 (04/03/2024)
> FUEDCMID: NAV 27 Feb 2024 (04/03/2024)
> FUEDCMID: Announcement after exchange trading 28 Feb 2024 (04/03/2024)