History price
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Date | Price | Change | Volume | Avg. Buy | Avg. Sell | Foreign Buy | Foreign Sell |
26/05/22 |
16,430 |
-30 ▼(-0.18%)
| 19,800 | 19,015.5 | 14,920.08 | 100 | 9,900 |
25/05/22 |
16,460 |
+530 ▲(3.33%)
| 5,100 | 18,910.46 | 14,562.46 | 1,100 | 400 |
24/05/22 |
15,930 |
+230 ▲(1.46%)
| 10,600 | 16,937.79 | 14,867.81 | 4,900 | 2,400 |
23/05/22 |
15,700 |
-300 ▼(-1.88%)
| 8,700 | 18,980.72 | 14,237.96 | - | 5,200 |
20/05/22 |
16,000 |
+120 ▲(0.76%)
| 6,700 | 17,203.04 | 15,753.4 | 600 | 3,700 |
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Industry Peers |
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News
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Download documents
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Overview
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Contact
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Listing Inf.
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Business Reg.
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Additional Inf.
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Events
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Notes
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Name
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SSIAM VN30 ETF |
English Name
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SSIAM VN30 ETF |
Abbreviation
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Address
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Floor 5, 1C Ngo Quyen, Ly Thai To Ward Hoan Kiem Ha Noi |
Telephone (Tel)
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Fax
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Email
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Website
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Exchange
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HoSE |
Sector
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Finance and Insurance |
Industry
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Funds, Trusts, and Other Financial Vehicles |
Listing date
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08/18/2020 |
Chartered capital
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56,000,000,000 |
Shares listed
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5,400,000 |
Shares outstanding
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5,400,000
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Status
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Operating |
Tax code
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Establishment License
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Issued date
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Business license
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Issued date
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Main business scope
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- Open fund, simulate the index fluctuation. |
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- July 22, 2020: The Fund was established. - August 18, 2020: Traded on Ho Chi Minh Stock Exchange (HOSE). |
01/01/0001 00:00
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FUESSV30 Consulting shareholders via a ballot for 2022
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Location
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Items
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Unit
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Price |
VND
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Volume |
Shares
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Foreigner's, Yield |
% |
Mkt Cap |
bVND
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Financial indicators |
mVND |
EPS, BVPS, Dividend |
VND
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P/E, F P/E, P/B
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Times
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ROS, ROA, ROE |
%
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1. The accounting period for equitization year was calculated as of company's establishment date. 2. F PE bases on corporate earnings targets, which are announced by listed companies. 3. 3-month/6-month/12-month price charts was was compiled from revised data.
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