PHVSF PERFORMANCE (VND)

* All trades are only based on NAV determined on the trading day (T day), NAV not determined on the trading day is for reference only

GROWTH IN YEARS

NAV/Unit
(VND)
2022 2023 2024 Since Inception
21/11/2022
PHVSF
(Performance %)
0.02 5.90 15.35 44.32

* Data as of 31/08/2025

 

NAV INFORMATION

Latest NAV NAV History
NAV/Unit as at 13/10/2025
(VND)
The highest NAV/unit
2025
The lowest NAV/unit
2025
14,447.70 14,620.26 9,916.43
Date Dealing date NAV/Unit
(VND)
Change in NAV
per unit
compared to last
valuation date (%)
Month-To-Date
Return (%)
Year-To-Date
Return (%)
22/06/2025 23/06/2025 11,921.49 -0.01% +2.99% -2.42%
19/06/2025 20/06/2025 11,903.79 +0.03% +2.84% -2.57%
18/06/2025 19/06/2025 11,899.63 -0.01% +2.80% -2.60%
17/06/2025 18/06/2025 11,901.37 +0.20% +2.82% -2.59%
16/06/2025 17/06/2025 11,877.49 +1.80% +2.61% -2.78%
15/06/2025 16/06/2025 11,667.18 -0.01% +0.79% -4.50%
12/06/2025 13/06/2025 11,668.25 +0.70% +0.80% -4.50%
11/06/2025 12/06/2025 11,587.54 +0.20% +0.11% -5.16%
10/06/2025 11/06/2025 11,564.09 +0.18% -0.10% -5.35%
09/06/2025 10/06/2025 11,543.84 -0.70% -0.27% -5.51%