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 15.34 15.76

* Data as of 30/05/2025

 

NAV INFORMATION

Latest NAV NAV History
NAV/Unit as at 15/06/2025
(VND)
The highest NAV/unit
2025
The lowest NAV/unit
2025
11,667.18 12,393.00 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 (%)
23/03/2025 24/03/2025 12,058.10 -0.01% -1.53% -1.31%
20/03/2025 21/03/2025 12,088.52 +0.23% -1.28% -1.06%
19/03/2025 20/03/2025 12,061.34 -0.59% -1.50% -1.28%
18/03/2025 19/03/2025 12,133.21 -0.41% -0.92% -0.69%
17/03/2025 18/03/2025 12,182.93 +0.52% -0.51% -0.28%
16/03/2025 17/03/2025 12,120.41 -0.01% -1.02% -0.80%
13/03/2025 14/03/2025 12,175.50 -1.27% -0.57% -0.34%
12/03/2025 13/03/2025 12,331.83 -0.49% +0.70% +0.94%
11/03/2025 12/03/2025 12,393.00 +0.13% +1.20% +1.44%
10/03/2025 11/03/2025 12,377.38 -0.01% +1.08% +1.31%