ENF NAV UPDATE 08/05/2014
Dear Investors,
NAV report of ENF as at 08/05/2014 has been updated in our website: http://www.eastspringinvestments.com.vn/
Fund name
|
NAV per unit at valuation date (VND)
|
ENF
|
9,414
|
Please access the following link to download NAV report: here
Best & Regards.