Year Fund Document
2024 VFMVSF NAV Report
- VFMVSF Net Asset Value As of Week 26/03/2024
- VFMVSF Net Asset Value As of Week 19/03/2024
- VFMVSF Net Asset Value As of Week 12/03/2024
- VFMVSF Net Asset Value As of Week 05/03/2024
- VFMVSF Net Asset Value As of Week 27/02/2024
- VFMVSF Net Asset Value As of Week 20/02/2024
- VFMVSF Net Asset Value As of Week 06/02/2024
- VFMVSF Net Asset Value As of Week 30/01/2024
- VFMVSF Net Asset Value As of Week 23/01/2024
- VFMVSF Net Asset Value As of Week 16/01/2024