Net Asset Value of MBBOND, MBVF, BVF
28-02-2025

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 23/02/2025:15,375 VND

http://www.mbcapital.com.vn/quan-ly-quy/quy-dau-tu-trai-phieu/

MBVF: Net Asset Value per unit on 23/02/2025: 23,009 VND

https://www.mbcapital.com.vn/quan-ly-quy/MBVF

 

★ Bảo Việt Fund:

BVFED: Net Asset Value per unit on 27/02/2025:23,292 VND

https://baovietfund.com.vn/san-pham/BVFED

BVBF: Net Asset Value per unit on 26/02/2025:20,708 VND

https://baovietfund.com.vn/san-pham/BVBF

BVPF: Net Asset Value per unit on 27/02/2025:21,616 VND

https://baovietfund.com.vn/san-pham/BVPF

Thank you for using our services.