Funds
VNI share buyback - Released date 17/08/2012
VNI net asset value July 2012 - Released date 13/08/2012
VNI net asset value June 2012 - Released date 13/07/2012
VNI changes to significant shareholder - Released date 27/06/2012
VNI changes to significant shareholder - Released date 25/06/2012
VNI EGM circular final - Released date 25/06/2012
VNI EGM form of proxy - Released date 25/06/2012
VNI director shareholding - Released date 14/06/2012
VNI net asset value May 2012 - Released date 12/06/2012
VNI Investor Conference Call RNS Reach - Released date 06/06/2012
VNI net asset value April 2012 - Released date 10/05/2012
VNI net asset value March 2012 - Released date 11/04/2012
 
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.

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