FUEVN100: NAV 29 Sep 2024
NAV 29 Sep 2024 of VINACAPITAL VN100 ETF as follows:
HOSE
> FUESSVFL: Basket of component securities 30 Sep 2024 (01/10/2024)
> FUESSVFL: NAV 29 Sep 2024 (01/10/2024)
> FUEVFVND: Announcement after exchange trading 27 Sep 2024 (01/10/2024)
> FUEVFVND: Basket of component securities 30 Sep 2024 (01/10/2024)
> IMP: Board resolution on asset liquidation (01/10/2024)
> FUEVFVND: NAV 26 Sep 2024 (01/10/2024)
> PDR: Information on shareholder benefit program (01/10/2024)
> FUEVFVND: NAV week from 20 Sep 2024 to 26 Sep 2024 (01/10/2024)
> FUEVN100: Announcement after exchange trading 27 Sep 2024 (01/10/2024)
> ST8: Reporting dossier on foreign ownership ratio limit (01/10/2024)