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Net Asset Value(s)

Released 09:53 11-Jan-2018

Net Asset Value(s)

11th January 2018

Vina Capital Vietnam Opportunity Fund Limited (the "Company", the “Fund” or "VOF")

LEI Number 2138007UD8FBBVAX9469

Monthly Net Asset Value

The Company announces that, at its close of business on 31st December  2017, its unaudited net asset value  (“NAV”)was USD  1.10 billion or USD 5.52 per share (Sterling equivalent at that date was GBP 809.49 million or GBP 4.08 per share). This represents a  6.15% increase from a net asset value per share of USD 5.20 from its close of business on 30th November 2017 (or 6.25% Increase in net asset value per share in GBP terms).

The monthly reported unaudited Net Asset Value is prepared by the Fund’s Administrator and reviewed by the Fund’s Manager. It may vary from the estimated weekly NAV announcements that are produced by the Manager based on estimated valuations. The estimated weekly NAV is provided for indicative purposes only. The Company accepts no responsibility for the accuracy of the estimated weekly NAV figure reported, and neither is any responsibility implied.

The unaudited monthly NAV is based on the following valuation guidelines:

·       Listed equities are marked to market, based on the closing price of the last trading day of the prior month, provided by the Vietnam stock exchanges (the Ho Chi Minh Stock Exchange and the Hanoi Stock Exchange).

·       Unlisted Securities are based on the average of up to three independent broker quotes for the last trading day of the prior month to the extent available, or the last available price. Note that Unlisted Securities include over-the-counter (OTC) traded securities and unlisted securities publicly traded on the Unlisted Public Companies Market (UPCoM) of the Hanoi Stock Exchange

·      Cash is based on cash in the bank at the close of the prior trading month and may be adjusted for receivables and accruals.

·       The Vietnam Dong (VND) foreign exchange rate is based on the daily reference rate provided by Vietcombank as of the date of the monthly NAV. The British Sterling (GBP) and US Dollar (USD) exchange rates are based on the Reuters reference rate of the same day.

More information on the Company is available at
Jonathan Viet Luu
VinaCapital Investment Management Limited
Investor Relations
+84 28 3821 9930

Joel Weiden
VinaCapital Investment Management Limited
+84 28 3821 9930  

David Benda / Hugh Jonathan
Numis Securities Limited, Broker
+44 (0)20 7260 1000

Franczeska Hanford
Northern Trust International Fund Administration Services (Guernsey) Limited, Administrator
+44 1481 745001  

Edward Gascoigne-Pees
Camarco, Public Relations (London)
+44 20 3757 4980



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Net Asset Value(s) - RNS