Funds
VNI share buyback - Released date 26/10/2012
VNI Vietnam Update in Singapore in 22 Oct 2012 - Released date 23/10/2012
VNI share buyback - Released date 22/10/2012
VNI share buyback - Released date 19/10/2012
VNI share buyback - Released date 17/10/2012
VNI share buyback - Released date 12/10/2012
VNI share buyback - Released date 01/10/2012
VNI appointment of new director - Released date 01/10/2012
VNI share buyback - Released date 28/09/2012
VNI net asset value August 2012 - Released date 10/09/2012
VNI changes to significant shareholder - Released date 05/09/2012
VNI share buyback - Released date 04/09/2012
VNI share buyback - Released date 31/08/2012
VNI share buyback programme update - Released date 28/08/2012
VNI share buyback - Released date 24/08/2012
| Fund | Last trade | |
| VNI | 0.355 | 0.7% |
| NAVps* | NAV | |
| (May 13) | 0.53 | 199 m |
* NAV per share.
Go to VNI page on LSE site.

0.7%

