To register for buying or selling fund certificates, please contact via email jsi@japan-sec.vn for specific procedures.
The funds’ net asset value at valuation date will be updated on weekly basis:
★ MBCapital Fund:
MBBOND: Net Asset Value per unit on 21/03/2023: 12,945 VND
http://www.mbcapital.com.vn/quan-ly-quy/quy-dau-tu-trai-phieu/
MBVF: Net Asset Value per unit on 21/03/2023: 16,146 VND
http://www.mbcapital.com.vn/quan-ly-quy/investment-funds-worth-mb-capital/
★ Bảo Việt Fund:
BVFED: Net Asset Value per unit on 23/03/2023:17,220 VND
https://baovietfund.com.vn/san-pham/BVFED
BVBF: Net Asset Value per unit on 22/03/2023: 17,993 VND
https://baovietfund.com.vn/san-pham/BVBF
BVPF: Net Asset Value per unit on 21/03/2023: 15,028 VND
https://baovietfund.com.vn/san-pham/BVPF
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