SSI SCA Performance

SSI SUSTAINABLE COMPETITIVE ADVANTAGE FUND
27,971.71
-445.65 (-1.57%) Updated at 24/05/2022

SSI SCA Performance

Growth in years

NAV/Unit (VND)

Performance (%)

2014

2015

2016

2017

2018

2019 2020 2021

Since  Inception*

SSI-SCA

32,195.68

-1.8%*

17.7%

24.1%

38.2%

-12.1%

3.91%

18.61% 49.90% 221.96%

VN-Index

-9.8%

6.1%

14.8%

48.0%

-9.3%

7.67%

14.87% 35.73% 147.66%
 
* Inception date: 26/09/2014; data as of 31/12/2021
NAV / CCQ Fluctuation Graph
Fund NAV/Unit (VND) Dealing date Change in NAV/Unit compared to last dealing date Change in NAV per unit compared to last valuation date (%)
SSI-SCA 27,971.71 24/05/2022 -445.65 -1.57%
SSIAM VNX50 ETF 18,043.82 24/05/2022 +247.99 +1.39%
SSIBF 13,278.02 24/05/2022 +2.41 +0.02%
SSIAM VNFIN LEAD ETF 16,800.34 24/05/2022 +454.30 +2.78%
SSIAM VN30 ETF 15,673.47 24/05/2022 +214.02 +1.38%
VLGF 9,112.64 24/05/2022 -122.40 -1.33%
Dealing date NAV/Unit (VND) Change in NAV per unit compared to last valuation date (%) Month-To-Date Return (%) Year-To-Date Return (%)
17/02/2016 11,308.15 +2.63% +1.25% -2.16%
03/02/2016 11,018.25 -1.35% -1.35% -4.66%
31/01/2016 11,168.90 +1.36% -3.36% -3.36%
27/01/2016 11,018.97 +2.43% -4.66% -4.66%
20/01/2016 10,757.23 -3.90% -6.92% -6.92%
Basic stat
Metrics Values
P/E (12 months) 13.15x
P/B 2.49x
ROE 20.47
Dividend Yield 1.96
Stocks account for a large proportion
Stock Company Name Sector %NAV
HPG Hoa Phat Group JSC Materials 9.95%
FPT FPT Corp Information Technology 7.95%
MWG Mobile World Investment Corp Consumer Discretionary 10.88%
TCB Vietnam Technological & Commercial Joint Financials 4.42%
IMP Imexpharm Pharmaceutical JSC Health Care 4.42%
VHM Vinhomes JSC Real Estate 8.36%
VNM Vietnam Dairy Products JSC Consumer Staples 4.85%
Asset distribution
SSI