Funds
VNI strategic update - Released date 04/11/2010
VNI net asset value September 2010 - Released date 11/10/2010
VNI net asset value August 2010 - Released date 10/09/2010
VNI Long An project groundbreaking held - Released date 16/08/2010
VNI director/VCIM shareholding - Released date 11/08/2010
VNI director/VCIM shareholding - Released date 09/08/2010
VNI net asset value June 2010 - Released date 19/07/2010
VNI director/PDMR shareholding - Released date 14/06/2010
VNI net asset value May 2010 - Released date 10/06/2010
VNI net asset value April 2010 - Released date 11/05/2010
VNI invests in HNEM hydro - Released date 21/04/2010
VNI sells shares of GLT - Released date 11/03/2010
VNI invests in Tay Bac hydro - Released date 10/02/2010
VNI director/PDMR shareholding - Released date 25/01/2010
VNI net asset value December 2009 - Released date 13/01/2010
| 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%

