FUCTVGF5: NAV week from 27 Dec 2024 to 02 Jan 2025
NAV week from 27 Dec 2024 to 02 Jan 2025 of Thien Viet Growth Fund 5 as follows:
HOSE
> TTF: Transferring shares (10/01/2025)
> FUCTVGF4: NAV week from 27 Dec 2024 to 02 Jan 2025 (10/01/2025)
> FUCTVGF3: NAV week from 27 Dec 2024 to 02 Jan 2025 (10/01/2025)
> E1VFVN30: NAV 05 Jan 2025 (10/01/2025)
> E1VFVN30: Announcement after exchange trading 06 Jan 2025 (10/01/2025)
> ITC: Change of accounting method (10/01/2025)
> E1VFVN30: Basket of component securities 07 Jan 2025 (10/01/2025)
> FUEABVND: Announcement after exchange trading 06 Jan 2025 (10/01/2025)
> GEE: BOD resolution dated December 30, 2024 (10/01/2025)
> CII: BOD resolution dated December 30, 2024 (10/01/2025)