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Net asset values

13th Aug 2015 09:20

RNS Number : 9520V
Vietnam Infrastructure Limited
13 August 2015
 



13 August 2015

 

Vietnam Infrastructure Limited (the "Company")

 

Net asset value of Private Equity Shares and Listed Portfolio Shares

 

The Company announces that, as at its close of business on 31 July 2015, the unaudited net asset values ("NAV") for each of its two share classes were:

 

Share Class

Ticker (AIM)

NAV

NAV per share

Private Equity Shares

VNI

USD 103.6

USD 0.30

Listed Portfolio Shares

VNIL

USD 102.9

USD 0.29

 

These represent the allocation of the Company's portfolio of private equity and listed portfolio assets to the Company's Private Equity Shares and Listed Portfolio Shares respectively as described in the Company's admission document dated 22 July 2015, which is available at the Company's website at http://vni-fund.com.

 

 

 Enquiries:

Jonathon Trewavas

VinaCapital Investment Management Limited

Investor Relations/Communications

+84 8 3821 9930

[email protected]

 

Philip Secrett

Grant Thornton UK LLP, Nominated Adviser

+44 (0)20 7383 5100

[email protected]

 

Hiroshi Funaki / William Marle

Edmond de Rothschild Securities, Broker

+44 (0)20 7845 5960

[email protected]

 

David Benda / Hugh JonathanNumis Securities Limited, Broker

+44 (0)20 7260 1000

[email protected]

 

Andrew Walton

FTI Consulting, Public Relations (London)

+44 (0)20 7269 7204

[email protected]

 

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