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VN-INDEX 1,230.48 -15.29/-1.23%
HNX-INDEX 219.49 -2.45/-1.10%
UPCOM-INDEX 92.15 -0.94/-1.01%
FUCVREIT: NAV week from 27 Apr 2022 to 03 May 2022
HOSE - 5/6/2022 9:52:00 AM
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NAV week from 27 Apr 2022 to 03 May 2022 of Techcom Vietnam REIT Fund as follows:

Newer News
10/01 STB.BSC.C.9M.EU.CASH.2024-01: NOTICE OF ISSUE OF COVERED WARRANT
10/01 MBB.BSC.C.15M.EU.CASH.2024-01: NOTICE OF ISSUE OF COVERED WARRANT
10/01 HPG.BSC.C.12M.EU.CASH.2024-01: NOTICE OF ISSUE OF COVERED WARRANT
10/01 ACB.BSC.C.9M.EU.CASH.2024-01: NOTICE OF ISSUE OF COVERED WARRANT
10/01 FPT.BSC.C.12M.EU.CASH.2024-01: NOTICE OF ISSUE OF COVERED WARRANT
10/01 FUEVFVND: Announcement of the change of listing
10/01 FUESSVFL: Announcement of the change of listing
10/01 HDB: Announcement of the change of listing
10/01 DHA: Record date for the 1st 2024 cash dividend payment
10/01 ACB: Change in personnel
Older News
06/05 FUEVN100: NAV 04 May 2022
06/05 FUEIP100: NAV 04 May 2022
06/05 FUEVFVND: NAV 04 May 2022
06/05 FUESSVFL: Basket of component securities 05 May 2022
06/05 FUESSVFL: NAV 04 May 2022
06/05 FUESSVFL: Announcement after exchange trading 04 May 2022
06/05 FUESSV50: Basket of component securities 05 May 2022
06/05 FUESSV50: Announcement after exchange trading 04 May 2022
06/05 FUESSV50: NAV 04 May 2022
06/05 FUESSV30: NAV 04 May 2022
 
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