Year Fund Document
2024 VFMVSF NAV Report
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VFMVSF Net Asset Value As of Week 25/06/2024
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VFMVSF Net Asset Value As of Week 18/06/2024
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VFMVSF Net Asset Value As of Week 11/06/2024
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VFMVSF Net Asset Value As of Week 04/06/2024
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VFMVSF Net Asset Value As of Week 28/05/2024
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VFMVSF Net Asset Value As of Week 21/05/2024
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VFMVSF Net Asset Value As of Week 14/05/2024
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VFMVSF Net Asset Value As of Week 07/05/2024
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VFMVSF Net Asset Value As of Week 25/04/2024
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VFMVSF Net Asset Value As of Week 23/04/2024