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Annual Results

VOF's NAV falls

30 December 2015 11:57

VinaCapital Vietnam Opportunity Fund has reported that its Net Asset Value (NAV) for the twelve months ended 30 June 2015 was USD718.7m, compared to USD771.4m for the previous year.

Its NAV per share for the period came in at USD3.27 (30 June 2014: USD3.24).

At 11:57am: (LON:VOF) VinaCapital Vietnam Opp. Fund Ltd share price was 0p at 2.34p

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