Month-end NAV

RNS Number : 7702T
VietNam Holding Limited
08 October 2014
 



VietNam Holding Limited
Month-end Net Asset Value

VietNam Holding Limited (AIM: VNH) announces that as at close of business on 30 September 2014, its unaudited net asset value ("NAV") was US$ 133,075,826 or US$ 2.161 per share, respectively.

Change in position as at 30 September 2014:


VietNam Holding (NAV per share)

Vietnam Index (VNI) USD-adjusted

VN All Share Index (VNAS) USD-adjusted

Last month

2.27%

-6.09%

-3.06%

Year-to-date

23.91%

17.92%

15.25%

Last 12 months

29.56%

20.89%

20.44%

 

The NAV per share performance is adjusted to reflect the dilution from past warrant exercises. The last-month performance figures are calculated by reference to the previous month-end NAV / VNI / VNAS positions. The year-to-date performance figures are calculated by reference to the NAV / VNI / VNAS positions at the end of the last calendar year (31 December 2013). The last 12-month performance figures are calculated by reference to the NAV / VNI / VNAS positions as at 31 July 2013. VNI / VNAS performances are adjusted to be shown in US dollar terms. VNI / VNAS performances are sourced from Bloomberg. Bloomberg uses the back-tested positions for VNAS for the period before 27 January 2014, which were released by the HoSE.


For more information please contact:

 

VietNam Holding Asset Management Limited


Gyentsen Zatul - Investor Relations

Tel: +41 43 500 28 10



Altium Capital Limited (Nominated Adviser)


Tim Richardson

Tel: +44 20 7484 4102



Winterflood Investment Trusts (Broker)


Joe Winkley / Neil Langford

Tel: +44 20 3100 0301



Buchanan Communications


Charles Ryland / Sophie McNulty

Tel: +44 20 7466 5000

 


This information is provided by RNS
The company news service from the London Stock Exchange
 
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