Fund Overview

(*) As of 23 April 2025
SymbolTCGF
Fund TypeEquity Fund
Inception date04/10/2024
License number130/GCN-UBCK
Supervisory bankBIDV
DistributorsTCSC, FMarket
NAV/Unit (*)9,839.91
Number of outstanding units (*)5,222,067.35
Distribution rate at NAVN/A
Min Subcription Amount100,000 VND
Trading dateTuesdays and Thursdays
Transaction feesView fee

Asset Mix

(*) As of 31 March 2025
Equity67.76%
Cash and Others32.24%

Top 5 Holdings

(*) As of 31 March 2025
Stock
Sector
% NAV
TCB
Bank
 15.43%
VIB
Bank
11.13%
HPG
Materials
 7.5%
ACB
Bank
4.86%
QNSConsumer Staples4.45%