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Fund objective

VEIL aims to provide investors with medium to long-term capital growth from Vietnam’s equity markets. VEIL invests in companies the portfolio management team identifies as displaying attractive growth and value metrics, good corporate governance, and that align with Vietnam’s underlying economic growth drivers.

Investment strategy

VEIL’s core holdings are market leaders and companies with the potential to cement competitive advantages over the long term. The fund’s size and fixed capital structure enables utilisation of structured deal opportunities including IPOs and large private transactions. VEIL also invests a small allocation to ‘incubator stocks’ with the potential to double or triple in a three year period. The closed-end structure allows a long-term investment horizon without liquidity concerns, with the average holding period of top ten positions over ten years.

Key facts

Investment manager
Dragon Capital Management (HK) Limited
Assets class
Equity
Fund launch date
11 August 1995
Trading currency
GBP, USD
Bloomberg code
VEIL LN, VEID LN
ISIN code
KYG9361H1092
Reuters code
VEILV.L, VEID.L
Management Fee
Flat 1.50%

Portfolio managers

  • Tuan Le Veil 1.jpg

    Le Anh Tuan

    Lead Portfolio Manager

    21 years

    years in industry

    3 years

    managing this fund

  • Thao Veil

    Ngo Thanh Thao

    Co-Portfolio Manager

    19 years

    years in industry

    12 years

    managing this fund

  • Amie Vuhoangviet 3 1

    Vu Hoang Viet

    Co-Portfolio Manager

    19 years

    years in industry

    3 years

    managing this fund

Key facts

Investment manager
Dragon Capital Management (HK) Limited
Assets class
Equity
Fund launch date
11 August 1995
Trading currency
GBP, USD
Bloomberg code
VEIL LN, VEID LN
ISIN code
KYG9361H1092
Reuters code
VEILV.L, VEID.L
Management Fee
Flat 1.50%

Product specialist

  • Nguyen Thuy Anh Sqaure

    Nguyen Thuy Anh

    Product Specialist

NAV performance

3 Months 1 Year 3 Years 5 Years 10 Years
VEIL ? Info As of 18/05/2026 -3.8 30.7 46.8 14.2 213.8 -2.3 29.4 36.0 21.1 239.1
VNI TR$ ? Info As of 18/05/2026 4.5 48.2 69.2 45.8 223.6
2022 2023 2024 2025 YTD
VEIL ? Info As of 18/05/2026 -35.7 10.4 12.2 24.5 -0.2 -27.5 4.1 14.3 15.8 0.2
VNI TR$ ? Info As of 18/05/2026 -34.1 11.1 8.7 38.8 8.2

Historical prices

Price

VEILVNI TR$Volume

Price

VEILVolume

Relative prices (%)

VEILVNI TR$Volume

Relative prices (%)

VEILVolume

Premium/Discount to NAV (%)

Premium/Discount to NAV (%)

Top 10 holdings

As of 31/03/2026

Company Sector Weight VNI Weight
Mobile World ? Top CE & phone retailer with promising grocery chain BHX a key driver for future growth Consumer Discretionary 8.3% 1.5%
BIDV ? Vietnam’s big four SOE banks, top 3 bank networks Financials – Banks 7.3% 3.5%
VPBank ? Commercial bank with 60% of consumer lending sector and largest customer base Financials – Banks 4.6% 2.7%
Vietinbank ? Vietnam’s second-largest bank, with the highest growth among the big 4 SOE banks. Financials – Banks 4.5% 3.4%
Vingroup ? One of the biggest conglomerate and market leader in real estate Real Estate 4.5% 13.2%
Vinhomes ? Vietnam’s biggest residential property developer Real Estate 4.2% 5.4%
Techcombank ? Leading bank for the affluent, best in class in optimising COF through digital innovations Financials – Banks 3.8% 2.8%
Vietcombank ? Top state-owned commercial bank with strong fundamentals and risk management Financials – Banks 3.6% 6.2%
Hoa Phat ? Largest vertically integrated steel producer with leading domestic market share Materials 3.6% 2.6%
MBBank ? Largest private commercial bank by assets with the highest number of e-bank users Financials – Banks 3.1% 2.7%

Asset allocation by sector

As of 31/03/2026

Hover over any segment to see more details
Asset Class Weight VNI Weight

Portfolio characteristics

As of 30/04/2026

3 Years 5 Years Since inception of VNI (31/07/2000)
Correlation 92.2 94.1 72.3
Annualised Alpha % -5.0 -4.4 3.5
Beta 1.0 1.0 0.7
Annual volatility % 20.6 22.1 24.4
Sharpe ratio 0.4 0.0 0.4
Annual tracking error % 5.6 5.6 17.2
Average annual return % 13.4 3.0 0.0

Our approach

Dragon Capital seeks to optimise risk-adjusted performance by integrating ESG factors at every stage of the investment process; from pre-investment screening through to post investment monitoring and active shareholder engagement.

ESG team

Pham Nguyen Vinh

Pham Nguyen Vinh

Head of Corporate Communications

Dr. Nguyen Nhat Ha Chi

Dr. Nguyen Nhat Ha Chi

ESG Manager

Our ESG management system

A six-step process

Initial Screening

Refrain from investing in or financing companies and activities on Dragon Capital’s exclusion list.

Esg Slide 001x2

E&S Risk Rating

Assign risk scores to each company.

Esg Partner

Governance Rating

Assess the investee company’s governance practices and identify opportunities for systematic improvement.

Esg Slide 03

Investment Decision

Results of ESG rating are presented to Investment Committee for making decision on investment.

Esg Slide 04

Portfolio Management

Monitors the ESG factors periodically at the portfolio level. Regularly review the portfolio to evaluate an increase or decrease of positions.

Esg Slide 05

Monitoring & Reporting

Document all findings from the screening. Monitor closely investee companies and engage immediately on ESG issues.

Esg Slide 06

ESG documents

Download key documents

Documents Year
Dragon Capital Responsible Investment Report 2024 2024 Download Dragon Capital Responsible Investment Report 2024
Dragon Capital Responsible Investment Policy 2024 2024 Download Dragon Capital Responsible Investment Policy 2024
VEIL ESG Report 2024 2024 Download VEIL ESG Report 2024
VEIL ESG Report 2023 2023 Download VEIL ESG Report 2023

Reports & documents

No documents found.

Please try a different search term or year.

How to buy VEIL

VEIL is available via most UK stockbrokers and many platforms, including:

Corporate broker: Jefferies International, [email protected]

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