FUCTVGF3: NAV week from 21 Mar 2025 to 27 Mar 2025
NAV week from 21 Mar 2025 to 27 Mar 2025 of Thien Viet Growth Fund 3 as follows:
HOSE
> FUEBFVND: Announcement after exchange trading 31 Mar 2025 (02/04/2025)
> FUEABVND: NAV 31 Mar 2025 (02/04/2025)
> FUEABVND: Basket of component securities 01 Apr 2025 (02/04/2025)
> FUEFCV50: Basket of component securities 01 Apr 2025 (02/04/2025)
> FUEFCV50: Announcement after exchange trading 31 Mar 2025 (02/04/2025)
> FUEDCMID: NAV 30 Mar 2025 (02/04/2025)
> FUEDCMID: Basket of component securities 01 Apr 2025 (02/04/2025)
> FUEDCMID: Announcement after exchange trading 31 Mar 2025 (02/04/2025)
> FUEKIV30: Announcement after exchange trading 31 Mar 2025 (02/04/2025)
> FUEIP100: Basket of component securities 01 Apr 2025 (02/04/2025)