FUCVREIT: NAV week from 283 Aug 2024 to 03 Sep 2024
NAV week from 283 Aug 2024 to 03 Sep 2024 of Techcom Vietnam REIT Fund as follows:
HOSE
> FUEIP100: Basket of component securities 05 Sep 2024 (06/09/2024)
> FUEIP100: Announcement after exchange trading 04 Sep 2024 (06/09/2024)
> REE: Information on public tender offer (06/09/2024)
> FUEFCV50: Announcement after exchange trading 04 Sep 2024 (06/09/2024)
> FUEFCV50: Basket of component securities 05 Sep 2024 (06/09/2024)
> FUEFCV50: NAV 04 Aug 2024 (06/09/2024)
> FUEDCMID: Basket of component securities 05 Sep 2024 (06/09/2024)
> FUEDCMID: NAV 31 Aug 2024 (06/09/2024)
> FUEDCMID: NAV 03 Sep 2024 (06/09/2024)
> FUEBFVND: Basket of component securities 05 Sep 2024 (06/09/2024)