Market Information

MarketIndexDatePointsChangeNotes
KLSEComposite Index  2012-12-14    1651.98    -0.77 ( -0.05%)  

Fund Prices

FundBuySellNAVSales
Charge
Change
Affin Hwang Asset MgmtJuly 24, 2015
Aiiman Growth 1.0233 1.0233 1.02335.5%+0.0069 0.68%
Select Balanced 0.6552 0.6552 0.65525.5%+0.0014 0.21%
Affin Hwang Asset Mgmt BhdSeptember 19, 2014
Affin Capital (rtd) 0.5545 0.5545 0.55451.0%+0.0005 0.09%
Affin Equity (rtd) 0.4937 0.4937 0.49377.0%+0.0033 0.67%
Dana Islamiah Affin (rtd) 0.4549 0.4549 0.45497.0%+0.0023 0.51%
Affin Islamic Equity (rtd) 0.4746 0.4746 0.47467.0%+0.0031 0.66%
Affin Islamic Money Market (rtd) 0.5097 0.5097 0.50970.0%+0.0000 0.00%
Affin Money Market (mtd) 0.5011 0.5011 0.50110.0%+0.0001 0.02%
Affin Select Growth (rtd) 0.3001 0.3001 0.30015.0%+0.0018 0.60%
Affin Tactical Fund (rtd) 0.2699 0.2699 0.26994.0%+0.0014 0.52%
Affin Quantum Fund (rtd) 0.2757 0.2757 0.27575.0%+0.0019 0.69%
Amanah Mutual BhdDecember 24, 2009
Amb Lifestyle Trust 2009 (mtd) 0.5480 0.5480 0.54804.0%-0.0000 -0.00%
AMB Lifestyle Trust 2014 (rtd) 0.2695 0.2695 0.26956.0%+0.0012 0.45%
PNB Structured Investment (mtd) 1.1211 1.1211 1.12111.5%-0.0000 -0.00%
AMB Dana Aqeel CP (mtd) 0.5599 0.5599 0.55991.8%-0.0000 -0.00%
AmanahRaya Investment Mgmt S/BOctober 27, 2010
ARMB Islamic CP Fund (mtd) 1.0013 1.0013 1.00132.3%-0.0000 -0.00%
AmInvestment Services BhdJuly 24, 2015
AmOasis Global Islamic Equity 1.2240 1.2240 1.22405.0%-0.0148 -1.19%
AmAsian Income (rtd) 0.5908 0.5908 0.59081.0%-0.0000 -0.00%
AmGlobal Bond (rtd) 1.0323 1.0323 1.03231.0%-0.0000 -0.00%
AmMulti Assets CG (mtd) 1.0053 1.0053 1.00531.0%+0.0002 0.02%
AmGlobal Enhanced Equity Yield (rtd) 0.5035 0.5035 0.50355.0%-0.0000 -0.00%
AmDual Opportunities CP (mtd) 1.1672 1.1672 1.16720.0%+0.0740 6.77%
AmAsian Currencies CP (mtd) 1.0871 1.0871 1.08710.0%+0.0850 8.48%
AmGlobal Climate Change (rtd) 0.6949 0.6949 0.69495.0%-0.0000 -0.00%
AmEmerging Markets Bond (rtd) 1.0921 1.0921 1.09213.0%+0.0000 0.00%
AmGlobal Currencies CP (mtd) 1.2229 1.2229 1.22292.5%+0.0161 1.33%
AmCommodities Extra (rtd) 0.9290 0.9290 0.92903.0%+0.0000 0.00%
AmCommodities Active - CP (mtd) 0.9781 0.9781 0.97813.5%-0.0714 -6.80%
AmStaples (mtd) 1.4500 1.4500 1.45003.3%+0.0297 2.09%
AmTriple 30 CP (mtd) 1.0000 1.0000 1.00003.3%-0.0783 -7.26%
AmRecovery Income CP (rtd) 1.0009 1.0009 1.00090.9%+0.0004 0.04%
AmConstant Extra (rtd) 1.1067 1.1067 1.10672.0%+0.0002 0.02%
AmConstant Extra 2 (rtd) 1.0943 1.0943 1.09433.0%+0.0000 0.00%
AmConstant Extra 3 (rtd) 1.0742 1.0742 1.07422.8%+0.0000 0.00%
AmConstant Extra 4 (rtd) 1.0562 1.0562 1.05622.5%+0.0001 0.01%
AmAsiaPacificReits (rtd) 0.6253 0.6253 0.62535.0%+0.0018 0.29%
AmTactical Bond (rtd) 0.9220 0.9220 0.92202.0%+0.0034 0.37%
Areca Capital Sdn BhdAugust 27, 2009
Areca CP Warrants (mtd) 1.0309 1.0309 1.03091.3%-0.0057 -0.55%
Areca CP Warrants 2 (mtd) 1.0571 1.0571 1.05711.5%+0.0000 0.00%
CIMB-P Asset Mgmt BhdJuly 30, 2015
CIMB-P Equity Growth & Income 1.2487 1.2487 1.24876.5%-0.0031 -0.25%
CIMB-P Small Cap Fund 2 (Merged) 0.6978 0.6978 0.69786.5%+0.0142 2.08%
CIMB-P Balanced Income 0.7921 0.7921 0.79216.5%+0.0010 0.13%
CIMB-P Malaysia Equity Fund 1.3499 1.3499 1.34996.5%+0.0095 0.71%
CIMB-P Bond 2 (Merged) 1.0874 1.0874 1.08742.0%-0.0005 -0.05%
CIMB-P KLCI-Linked Fund 1.2657 1.2657 1.26576.5%+0.0169 1.35%
CIMB-P Equity Fund 4 (Merged) 0.7289 0.7289 0.72896.5%+0.0045 0.62%
CIMB-P Equity Fund 1.7618 1.7618 1.76186.5%+0.0122 0.70%
CIMB-P Balanced Growth (Merged) 0.7060 0.7060 0.70606.5%+0.0004 0.06%
CIMB-P KLCI-Linked Fund 2 (Merged) 0.8258 0.8258 0.82582.0%-0.0006 -0.07%
CIMB-P Bond Fund 1.1508 1.1508 1.15082.0%-0.0000 -0.00%
CIMB-P Equity Aggr Fund 3 1.0801 1.0801 1.08015.0%+0.0070 0.65%
CIMB-P Balanced Fund 0.4406 0.4406 0.44065.0%+0.0018 0.41%
CIMB-P Income Plus Balanced 0.3199 0.3199 0.31995.0%+0.0003 0.09%
CIMB-P Equity Growth Fund (rtd) 0.6061 0.6061 0.60616.5%+0.0015 0.25%
CIMB-P Equity Income Fund 1.2360 1.2360 1.23606.5%-0.0044 -0.35%
CIMB-P Money Market Income 1.0145 1.0145 1.01450.0%+0.0001 0.01%
CIMB-P Equity Fund 3 (Ended) 1.1423 1.1423 1.14236.5%-0.0006 -0.05%
CIMB-P Equity Aggr Fund 2 (Ended) 0.6910 0.6910 0.69106.5%-0.0006 -0.09%
CIMB-P Equity Aggressive Fund 1 0.7749 0.7749 0.77496.5%+0.0037 0.48%
CIMB-P Enterprise Fund (Ended) 0.0001 0.0001 0.00016.5%-0.1111-99.91%
CIMB-P Small Cap Fund 0.7921 0.7921 0.79215.0%-0.0021 -0.26%
CIMB-P Strategic Bond 1.0711 1.0711 1.07112.0%+0.0003 0.03%
CIMB-P Deposit Fund 1.0026 1.0026 1.00260.0%+0.0001 0.01%
CIMB-P Global Titans 0.8352 0.8352 0.83525.5%+0.0031 0.37%
CIMB-P Global Growth (rtd) 0.3957 0.3957 0.39576.5%-0.0001 -0.03%
CIMB-P Emerging Asia Fund (rtd) 0.2164 0.2164 0.21645.0%-0.0001 -0.05%
CIMB-P Global Balanced (rtd) 0.4038 0.4038 0.40386.5%-0.0006 -0.15%
CIMB-P Asian Equity Fund 0.6373 0.6373 0.63736.5%-0.0033 -0.52%
CIMB-P Xcess Income (Closed) 0.9971 0.9971 0.99710.0%-0.0000 -0.00%
CIMB-P Multi-Maturity Income 1 (mtd) 1.0119 1.0119 1.01190.0%+0.0002 0.02%
CIMB-P Global Asset Spectra (rtd) 0.4408 0.4408 0.44086.5%-0.0007 -0.16%
CIMB-P Global Income (mtd) 0.4091 0.4091 0.40913.8%-0.0983-19.37%
CIMB-P Greater China Equity 0.6377 0.6377 0.63775.5%-0.0001 -0.02%
CIMB-P Lifecycle 2017 (rtd) 0.6769 0.6769 0.67696.5%-0.0011 -0.16%
CIMB-P Lifecycle 2022 (rtd) 0.6307 0.6307 0.63076.5%-0.0009 -0.14%
CIMB-P Lifecycle 2027 (rtd) 0.5647 0.5647 0.56476.5%-0.0021 -0.37%
CIMB-P Climate Change Equity (rtd) 0.2762 0.2762 0.27626.5%-0.0000 -0.00%
CIMB-P ASEAN Equity Fund 0.5736 0.5736 0.57366.5%-0.0025 -0.43%
CIMB-P Steady Returns Bond 3 (mtd) 0.5826 0.5826 0.58261.0%-0.4259-42.23%
CIMB-P Wholesale Equity 1.8070 1.8070 1.80700.0%+0.0026 0.14%
CIMB-P MENA Equity Fund (rtd) 0.4995 0.4995 0.49956.5%+0.1755 54.17%
CIMB-P Asia Infrastructure Equity (rtd) 0.4078 0.4078 0.40786.5%-0.0030 -0.73%
CIMB-P Opportunistic Bond Fund (mtd) 1.2255 1.2255 1.22551.8%-0.0000 -0.00%
CIMB-P China Recovery Structured (rtd) 0.5095 0.5095 0.50951.5%+0.0000 0.00%
CIMB-P China-India-Indonesia Equity 0.3146 0.3146 0.31466.5%+0.0002 0.06%
CIMB-P Australian Equity 0.3154 0.3154 0.31546.5%+0.0031 0.99%
CIMB-P Institutional Bond 3 1.3334 1.3334 1.3334--0.0006 -0.04%
CIMB-P Institutional Bond 4 1.0225 1.0225 1.0225--0.0004 -0.04%
CIMB-P Strategic Income Bond (rtd) 1.0158 1.0158 1.01583.0%-0.0713 -6.56%
CIMB-P Asia Pacific Dynamic Income 0.2844 0.2844 0.28446.5%-0.0006 -0.21%
CIMB-P Strategic Income Bond 2 (rtd) 1.0488 1.0488 1.04883.0%+0.0016 0.15%
CIMB-P Enhanced Opportunity Bond 1.0212 1.0212 1.02122.0%-0.0000 -0.00%
CIMB-P Islamic Asset Mgmt S/B.July 31, 2015
CIMB-I DALI Equity Growth 1.3531 1.3531 1.35316.5%+0.0072 0.53%
CIMB-I Balanced Fund 0.4979 0.4979 0.49796.5%+0.0003 0.06%
CIMB-I Small Cap Fund 1.0013 1.0013 1.00136.5%-0.0043 -0.43%
CIMB Islamic Enhanced Index (Merged) 0.6261 0.6261 0.62616.5%-0.0143 -2.23%
CIMB-I DALI Equity 1.1492 1.1492 1.14926.5%+0.0011 0.10%
CIMB-I Equity Aggressive 0.8010 0.8010 0.80105.0%+0.0042 0.53%
CIMB-I Balanced Growth 0.6782 0.6782 0.67825.0%+0.0028 0.41%
CIMB Islamic Micro Cap (Ended) 0.0888 0.0888 0.08886.5%-0.0000 -0.00%
CIMB-I DALI Asia Pacific Equity Growth (ex I Equity Fund) 0.8619 0.8619 0.86196.5%+0.0001 0.01%
CIMB-I Sukuk Fund 1.3026 1.3026 1.30262.0%+0.0000 0.00%
CIMB-I Enhanced Sukuk 1.0357 1.0357 1.03572.0%+0.0008 0.08%
CIMB-I Balanced Income (closed)-0.0199-0.0199-0.01996.5%-0.5562-##.##%
CIMB-I Short Term Sukuk (Ended) 1.0852 1.0852 1.08520.0%+0.0173 1.62%
CIMB-I Asia Pacific Equity 0.6993 0.6993 0.69935.0%-0.0003 -0.04%
CIMB-I Structured Growth (mtd) 0.5020 0.5020 0.50202.5%+0.0002 0.04%
CIMB-I Kausar Lifecycle 2017 (rtd) 0.6555 0.6555 0.65556.5%-0.0013 -0.20%
CIMB-I Kausar Lifecycle 2022 (rtd) 0.5747 0.5747 0.57476.5%+0.0003 0.05%
CIMB-I Kausar Lifecycle 2027 (rtd) 0.5853 0.5853 0.58536.5%-0.0021 -0.36%
CIMB-I Global Equity (rtd) 0.5650 0.5650 0.56506.5%-0.0006 -0.11%
CIMB-I DALI Equity Theme 0.3531 0.3531 0.35316.5%-0.0159 -4.31%
CIMB-I Money Market 1.0744 1.0744 1.07440.0%+0.0001 0.01%
CIMB-I Comm Structured Fund 1 (mtd) 0.5006 0.5006 0.50061.3%-0.0000 -0.00%
CIMB-I Comm Structured Fund 2 (mtd) 0.5008 0.5008 0.50081.5%+0.0000 0.00%
CIMB-I Global Emer Markets Equity (rtd) 0.6301 0.6301 0.63016.5%-0.0001 -0.02%
CIMB-I Greater China Equity 0.3070 0.3070 0.30706.5%+0.0003 0.10%
CIMB-I Deposit Fund 1.0025 1.0025 1.00250.0%+0.0001 0.01%
CIMB-I Global Commodities Equity 0.2265 0.2265 0.22656.5%+0.0007 0.31%
CIMB-I Institutional Sukuk Fund 1.3153 1.3153 1.3153--0.0007 -0.05%
CIMB-I Al-Azzam Equity Fund 0.3004 0.3004 0.30046.5%+0.0008 0.27%
Eastspring Investments BhdJuly 31, 2015
Eastspring Invt Small-Cap 0.6750 0.6750 0.67505.3%-0.0066 -0.97%
Eastspring Invt Growth 0.6922 0.6922 0.69225.3%-0.0031 -0.45%
Eastspring Invt Balanced 1.0119 1.0119 1.01195.3%-0.0058 -0.57%
Eastspring Invt Bond Fund 0.6775 0.6775 0.67750.0%+0.0005 0.07%
Eastspring Invt Dana Al-Ilham 0.7318 0.7318 0.73185.3%+0.0005 0.07%
Eastspring Invt Dana Al-Islah 0.7340 0.7340 0.73405.3%-0.0010 -0.14%
Eastspring Invt Cash Management 0.5414 0.5414 0.54140.0%+0.0004 0.07%
Eastspring Invt Dynamic 0.9520 0.9520 0.95205.0%-0.0037 -0.39%
Eastspring Invt Dana Dinamik 0.9829 0.9829 0.98295.0%+0.0007 0.07%
Eastspring Invt Equity Income 0.7773 0.7773 0.77735.0%+0.0034 0.44%
Eastspring Invt Dana Wafi 0.5478 0.5478 0.54780.0%+0.0003 0.05%
Eastspring Invt Asia Pacific Equity MY 0.6001 0.6001 0.60015.0%-0.0104 -1.70%
Eastspring Invt Asia Select Income 0.6672 0.6672 0.66725.0%+0.0005 0.08%
Eastspring Invt Global Leaders MY 0.5708 0.5708 0.57085.0%-0.0023 -0.40%
PRU Asia Pacific Income (mtd) 0.5035 0.5035 0.50353.8%+0.0009 0.18%
PRU Commodity Plus Strcd (mtd) 0.5030 0.5030 0.50303.8%+0.0002 0.04%
PRU Conservative Invest Plan (merged) 0.2320 0.2320 0.23206.0%-0.0009 -0.39%
PRU Moderate Invest Plan (merged) 0.2275 0.2275 0.22756.0%-0.0006 -0.26%
PRU Aggressive Invest Plan (merged) 0.2138 0.2138 0.21386.0%-0.0005 -0.23%
Eastspring Invt Global Basics MY 0.5159 0.5159 0.51596.0%-0.0095 -1.81%
PRU Multi-Asset Structured (mtd) 0.5092 0.5092 0.50923.8%-0.0000 -0.00%
Eastspring Invt Islamic Income 0.5204 0.5204 0.52040.0%+0.0004 0.08%
Eastspring Invt Global Equity Blend (rtd) 0.2394 0.2394 0.23946.0%-0.0000 -0.00%
Eastspring Invt Enhanced Income 0.5716 0.5716 0.57165.0%-0.0011 -0.19%
PRU Shariah FX (mtd) 0.5201 0.5201 0.52013.8%+0.0005 0.10%
PRU 08 CP Asian Infra (Matured) 0.2550 0.2550 0.25502.5%+0.0024 0.95%
Eastspring Invt Asia Pac Shariah Equity 0.3690 0.3690 0.36906.0%-0.0015 -0.40%
Eastspring Invt Global Emerging Markets 0.2742 0.2742 0.27426.0%-0.0083 -2.94%
Eastspring Invt Country Selection (rtd) 0.1489 0.1489 0.14895.0%+0.0000 0.00%
PRU International Bank Target 8 (mtd) 0.6402 0.6402 0.64022.5%+0.0000 0.00%
PRU Emerging Market Rates (mtd) 1.0439 1.0439 1.04392.0%-0.0001 -0.01%
PRU Jade Structured (mtd) 1.0259 1.0259 1.02592.5%+0.0000 0.00%
Eastspring Invt Global Market Navigator MY (rtd) 0.4869 0.4869 0.48696.0%+0.0000 0.00%
Eastspring Invt Dinasti Equity 1.3646 1.3646 1.36465.5%+0.0025 0.18%
Eastspring Invt MY Focus Fund 0.8906 0.8906 0.89065.0%-0.0061 -0.68%
Eastspring Invt Indonesia Equity MY 0.4754 0.4754 0.47545.5%-0.0064 -1.33%
Eastspring Invt Target Income Fund (mtd) 1.1109 1.1109 1.11093.0%+0.0000 0.00%
Eastspring Invt Bond Plus Fund 0.5381 0.5381 0.53812.0%+0.0009 0.17%
Eastspring Invt Target Income Fund 2 1.0668 1.0668 1.06683.0%+0.0025 0.23%
Eastspring Asean Al-Adiil Fund 0.5758 0.5758 0.57585.5%-0.0001 -0.02%
Eastspring Invt Asia Pacific ex-Japan Target Return 0.5273 0.5273 0.52735.5%-0.0061 -1.14%
Hong Leong Asset Mgmt BhdJuly 16, 2015
Hong Leong Penny Stock 0.1350 0.1350 0.13506.0%+0.0009 0.67%
Hong Leong Blue Chip (rtd) 0.4370 0.4370 0.43706.0%+0.0000 0.00%
HLG Dana Munir (ended) 0.5277 0.5277 0.52770.0%+0.0000 0.00%
Hong Leong Consumer Products Sector 0.4509 0.4509 0.45096.0%-0.0001 -0.02%
Hong Leong Industrial & Tech Sector (rtd) 1.1853 1.1853 1.18536.0%-0.0000 -0.00%
Hong Leong Cons, Infra & Prop Sector (rtd) 1.4192 1.4192 1.41926.0%-0.0000 -0.00%
Hong Leong Trading/Services Sector (rtd) 1.0214 1.0214 1.02146.0%-0.0000 -0.00%
Hong Leong Finance Sector (rtd) 1.3029 1.3029 1.30296.0%-0.0000 -0.00%
Hong Leong Global Healthcare (rtd) 0.5533 0.5533 0.55335.0%+0.0000 0.00%
HLG Star Portfolio (mtd) 0.5089 0.5089 0.50891.5%+0.0001 0.02%
Hong Leong Global Resources Income (rtd) 0.3959 0.3959 0.39596.0%+0.0000 0.00%
Hong Leong Global Lifestyle Balanced (rtd) 0.5192 0.5192 0.51926.0%+0.0000 0.00%
HLG Euro Dividend-Growth (mtd) 0.5047 0.5047 0.50476.0%-0.0010 -0.20%
Hong Leong Vietnam Fund (rtd) 0.8985 0.8985 0.89852.5%-0.0001 -0.01%
Hong Leong Diversified Strategic (rtd) 0.4993 0.4993 0.49936.0%+0.0000 0.00%
Hong Leong Star Select-CP (mtd) 0.5127 0.5127 0.51272.5%+0.0003 0.06%
Hong Leong GEM Resources Strategic (rtd) 0.0803 0.0803 0.08036.0%+0.0000 0.00%
Hong Leong GEMS Cash Plus (rtd) 0.4967 0.4967 0.49673.0%-0.0008 -0.16%
HLG Shariah Inflation Select (mtd) 0.5119 0.5119 0.51192.0%+0.0003 0.06%
Hong Leong Gold Select CP (mtd) 0.4990 0.4990 0.49902.0%+0.0003 0.06%
Hong Leong Vietnam Strategic (rtd) 0.1441 0.1441 0.14416.0%-0.0004 -0.28%
Hong Leong Macro Holdings (rtd) 0.5114 0.5114 0.51145.0%+0.0045 0.89%
ING Funds BhdJuly 10, 2009
ING AsiaPac CG (Mtd) 1.0855 1.0855 1.08557.0%+0.0000 0.00%
ING GIO CP (mtd) 1.0000 1.0000 1.00001.5%+0.0000 0.00%
ING Baraka CP (mtd) 1.0000 1.0000 1.00001.5%+0.0000 0.00%
ING Baraka CP II (mtd) 1.0015 1.0015 1.00151.5%+0.0008 0.08%
ING Baraka Commodities CP (mtd) 1.0000 1.0000 1.00001.5%+0.0050 0.50%
ING Annual Alpha Access CP (mtd) 1.0000 1.0000 1.00001.5%+0.0000 0.00%
ING Annual Income Climate Structured (mtd) 1.3455 1.3455 1.34551.5%-0.0000 -0.00%
ING Enhanced Yield (rtd) 1.0000 1.0000 1.0000-+0.0000 0.00%
KAF Fund MgmtJune 20, 2012
Alliance Asian Bond (rtd) 0.5727 0.5727 0.57270.0%-0.0021 -0.37%
Alliance Regular Income (rtd) 1.0601 1.0601 1.06011.0%+0.0001 0.01%
Alliance Regular Income 2 (rtd) 1.0516 1.0516 1.05161.0%-0.0001 -0.01%
Alliance Regular Income 3 (rtf) 1.0655 1.0655 1.06551.0%+0.0000 0.00%
Alliance Regular Income 4 (rtf) #.### #.### #.###1.0%+#.#### ##.##%
Kenanga Investors BhdJune 11, 2014
Kenanga Asia Pacific Oriental (rtd) 0.5735 0.5735 0.57355.5%-0.0016 -0.28%
Kenanga Investors Bhd 1July 31, 2015
Kenanga Growth 1.0605 1.0605 1.06055.0%+0.0078 0.74%
Kenanga Global Real Estate (rtd) 0.3808 0.3808 0.38086.5%+0.0000 0.00%
Kenanga China Access (rtd) 0.4752 0.4752 0.47526.5%+0.0002 0.04%
Kenanga Structured Income Fund (rtd) 1.0000 1.0000 1.0000--0.0460 -4.40%
KL City Unit Trust BhdAugust 30, 2007
KLCity Sapphire (N/A) 0.3906 0.3906 0.3906--0.0000 -0.00%
KLCity Ruby (N/A) 0.2777 0.2777 0.2777-+0.0000 0.00%
KLCity Emerald (N/A) 0.4133 0.4133 0.4133-+0.0000 0.00%
KLCity Dana Imbang @ Alif (N/A) 0.6367 0.6367 0.6367-+0.0004 0.06%
KLCity SmallCap (N/A) 0.2460 0.2460 0.2460-+0.0000 0.00%
Libra Invest BhdNovember 2, 2011
Libra AsiaPac Alpha Fund (mtd) 0.4932 0.4932 0.49323.0%+0.0000 0.00%
Manulife Asset Mgmt Services BhdJuly 24, 2015
Manulife Investment Balanced 0.4362 0.4362 0.43626.5%+0.0048 1.11%
Manulife Investment Value 0.7891 0.7891 0.78916.5%+0.0093 1.19%
Manulife Investment Equity Index 0.5720 0.5720 0.57206.5%-0.0021 -0.37%
Manulife Investment Syariah Index 0.6988 0.6988 0.69886.5%-0.0003 -0.04%
Manulife Investment Growth 0.4304 0.4304 0.43046.5%+0.0002 0.05%
Manulife Investment Progress 0.4402 0.4402 0.44026.5%+0.0129 3.02%
Manulife Investment Bond 0.8578 0.8578 0.85780.3%+0.0013 0.15%
Manulife Investment Al-Faid 0.4246 0.4246 0.42466.5%+0.0008 0.19%
Manulife Investment As-Saad 1.1363 1.1363 1.13630.3%+0.0017 0.15%
Manulife Investment Regular Savings 0.3080 0.3080 0.30806.5%+0.0037 1.22%
Manulife Investment Money Market 1.0265 1.0265 1.02650.0%+0.0008 0.08%
Manulife Investment Pacific 0.2961 0.2961 0.29616.5%-0.0035 -1.17%
Manulife Investment-ML Flexi 0.2020 0.2020 0.20206.5%+0.0025 1.25%
Manulife Investment Al-Fauzan 0.3765 0.3765 0.37656.5%+0.0027 0.72%
Manulife Investment Dividend 0.3677 0.3677 0.36776.5%+0.0014 0.38%
Manulife Investment Al-Umran 0.2742 0.2742 0.27426.5%+0.0020 0.73%
Manulife Investment-CM Flexi 0.2331 0.2331 0.23316.5%+0.0019 0.82%
Manulife Investment Al-Ma'mun 1.0311 1.0311 1.03110.0%+0.0009 0.09%
Manulife Investment Asia-Pacific REIT 0.3956 0.3956 0.39565.0%+0.0012 0.30%
Manulife Investment-HW Flexi 0.3576 0.3576 0.35766.5%-0.0008 -0.22%
Manulife Investment-CM Shariah Flexi 0.2480 0.2480 0.24806.5%+0.0015 0.61%
Manulife Investment Shariah Asia-Pacific 0.2766 0.2766 0.27666.5%-0.0058 -2.05%
Manulife Investment Greater China 0.3514 0.3514 0.35146.5%-0.0032 -0.90%
Manulife Investment U.S. Equity Fund 0.4342 0.4342 0.43426.5%-0.0076 -1.72%
Manulife Investment Indonesia Equity 0.1641 0.1641 0.16416.5%-0.0018 -1.08%
Manulife Investment Shariah Progress 0.4130 0.4130 0.41306.5%+0.0052 1.28%
MIDF Amanah Asset Mgmt BhdJuly 6, 2012
MIDF Amanah Asia Pacific Equity (Rtd) 0.4950 0.4950 0.4950-+0.0000 0.00%
MIDF Amanah Asia Pacific Islamic Equity (Rtd) 0.4946 0.4946 0.4946--0.0000 -0.00%
Pacific Mutual BhdOctober 3, 2013
Pacific Advantage GDP Momentum (rtd) 0.2647 0.2647 0.26475.0%-0.2459-48.16%
Pacific Dynamic Trader (rtd) 1.3444 1.3444 1.34440.0%+0.0004 0.03%
Pacific Protected Islamic Cash (n/a) 0.9944 0.9944 0.99440.0%-0.0060 -0.60%
Pacific Select Bond (rtd) 1.0027 1.0027 1.00270.0%-0.0021 -0.21%
Phillip Mutual BhdDecember 11, 2014
MASTER First Ethical (Merged) 0.5000 0.5000 0.5000#.#%+0.0000 0.00%
PMB Investment BhdJuly 24, 2015
PMB Dana Al Aiman 0.4995 0.4995 0.49956.5%+0.0000 0.00%
PMB Syariah Index Fund 0.4995 0.4995 0.49956.5%-0.0048 -0.95%
PMB Shariah Cash Mgmt 0.5049 0.5049 0.50490.0%+0.1298 34.60%
ASM Kelima (Merged) 0.2039 0.2039 0.20396.5%-0.0001 -0.05%
PMB Syariah Aggressive 0.5836 0.5836 0.58366.5%-0.8010-57.85%
ASM Ketujuh (Merged) 0.6151 0.6151 0.61516.5%-0.0003 -0.05%
PMB Shariah Growth Fund 1.4334 1.4334 1.43346.5%+1.0460 ##.##%
PMB Dana Bestari 0.3895 0.3895 0.38956.5%-0.3838-49.63%
ASM Kesepuluh (Merged) 0.6757 0.6757 0.67576.5%+0.0000 0.00%
PMB Shariah Tactical (ex-KMB 11) 0.5003 0.5003 0.50036.5%+0.1714 52.11%
PMB Shariah Mid-Cap Fund 0.2013 0.2013 0.20136.5%-0.1763-46.69%
PMB Syariah Premier Fund 0.3312 0.3312 0.33126.5%+0.1327 66.85%
PMB Shariah TNB Employees Fund 0.3808 0.3808 0.38086.5%+0.1089 40.05%
PMB Dana Mutiara 0.3764 0.3764 0.37646.5%-0.1864-33.12%
PMB Shariah Balanced Fund 0.7802 0.7802 0.78026.5%+0.2885 58.67%
ASM Global Diversified (mtd) 0.7705 0.7705 0.77056.5%+0.2705 54.10%
PMB Syariah Dividend 0.2753 0.2753 0.27536.5%+0.0034 1.25%
Public Mutual BhdJuly 24, 2015
Public SmallCap 0.9232 0.9232 0.92325.5%+0.0073 0.80%
Public Islamic Dividend 0.3583 0.3583 0.35835.5%-0.0013 -0.36%
Public Ittikal Sequel Fund 0.3014 0.3014 0.30145.5%-0.0007 -0.23%
RHB Asset Mgmt BhdJuly 24, 2015
RHB-OSK Equity Trust 0.5281 0.5281 0.52816.4%+0.0105 2.03%
RHB-OSK SCOUT 1.1795 1.1795 1.17956.4%+0.0327 2.85%
RHB-OSK Kidsave Trust 0.5435 0.5435 0.54356.4%+0.0074 1.38%
RHB-OSK KLCI Tracker 0.9896 0.9896 0.98961.0%-0.0039 -0.39%
OSK-UOB TMT Focus (Closed) 0.4647 0.4647 0.46476.4%+0.0000 0.00%
RHB-OSK Dana Islam 0.9729 0.9729 0.97296.4%+0.0246 2.59%
RHB-OSK Income 2 1.3896 1.3896 1.38960.0%+0.0033 0.24%
RHB-OSK Emerging Opportunity 0.7392 0.7392 0.73925.3%+0.0158 2.18%
OSK-UOB GrowthPath Today (Merged) 0.4781 0.4781 0.47812.0%-0.0071 -1.46%
OSK-UOB GrowthPath 2025 (Merged) 0.4334 0.4334 0.43345.3%-0.0003 -0.07%
RHB-OSK Smart Treasure 0.6607 0.6607 0.66075.3%+0.0169 2.63%
RHB-OSK Smart Balanced 1.3362 1.3362 1.33625.3%+0.0283 2.16%
OSK-UOB CG - Series 1 (mtd) 1.2165 1.2165 1.21650.0%+0.0000 0.00%
RHB-OSK Smart Income 0.7294 0.7294 0.72942.0%+0.0090 1.25%
RHB-OSK GIFT 0.4894 0.4894 0.48945.3%+0.0105 2.19%
RHB-OSK Global Equity Yield 0.5208 0.5208 0.52085.3%-0.0027 -0.52%
RHB-OSK Asia Pacific 0.3195 0.3195 0.31955.3%-0.0040 -1.24%
RHB-OSK Global Allocation 0.5680 0.5680 0.56803.6%-0.0043 -0.75%
RHB-OSK Resources Fund 0.4973 0.4973 0.49735.3%-0.0156 -3.04%
OSK-UOB CG BRIC (mtd) 1.0404 1.0404 1.04040.0%+0.0025 0.24%
RHB-OSK Global New Stars 0.2793 0.2793 0.27936.0%-0.0007 -0.25%
RHB-OSK Money Market 1.0340 1.0340 1.03400.0%+0.0009 0.09%
RHB-OSK Golden Dragon 0.5638 0.5638 0.56385.3%-0.0068 -1.19%
OSK-UOB Index Covered (Mtd) 1.0600 1.0600 1.06002.0%+0.0001 0.01%
RHB-OSK Asian Real Estate 0.5077 0.5077 0.50775.0%+0.0006 0.12%
RHB-OSK Thematic Growth 0.2439 0.2439 0.24395.0%+0.0019 0.79%
RHB-OSK Asia Active Allocation 0.5600 0.5600 0.56005.0%+0.0005 0.09%
RHB-OSK Big Cap China Enterprise 0.6681 0.6681 0.66815.5%+0.0015 0.23%
RHB-OSK Asian Growth Opp 0.5671 0.5671 0.56715.0%-0.0177 -3.03%
RHB-OSK Malaysia Dividend 0.3043 0.3043 0.30435.5%+0.0057 1.91%
OSK-UOB CP Gold-Linked Fund (mtd) 1.1391 1.1391 1.13912.0%+0.0269 2.42%
RHB-OSK Global Capital 0.6035 0.6035 0.60355.5%-0.0001 -0.02%
OSK-UOB Income Alpha (rtd) 0.5275 0.5275 0.52753.5%-0.0001 -0.02%
OSK-UOB CP Equity Fund (mtd) 1.1313 1.1313 1.13130.8%+0.0004 0.04%
RHB-OSK Cash Mgmt 2 Fund 1.2113 1.2113 1.21130.0%+0.0008 0.07%
OSK-UOB CP KLCI (mtd) 1.0150 1.0150 1.01501.5%+0.0014 0.14%
RHB-OSK Energy Fund 0.3541 0.3541 0.35415.0%-0.0014 -0.39%
OSK-UOB CP One Advantage (mtd) 1.0270 1.0270 1.02705.0%-0.0812 -7.33%
RHB-OSK Gold and General 0.1639 0.1639 0.16395.5%-0.0267-14.01%
OSK-UOB CP Gold Guru Fund (mtd) 1.4443 1.4443 1.44435.0%+0.0010 0.07%
OSK-UOB CP China A-Share (rtd) 1.0139 1.0139 1.01393.5%+0.0052 0.52%
OSK-UOB Global Stimulus (rtd) 0.4394 0.4394 0.43942.5%-0.0005 -0.11%
OSK-UOB CP China A-Share - Series 2 (mtd) 1.0081 1.0081 1.00813.5%-0.0006 -0.06%
RHB-OSK Asean Fund 0.5414 0.5414 0.54145.0%-0.0014 -0.26%
RHB-OSK Asia Consumer Fund 0.4893 0.4893 0.48935.5%-0.0032 -0.65%
RHB-OSK China-India Dynamic Growth 0.7129 0.7129 0.71295.5%-0.0075 -1.04%
OSK-UOB Asian Recovery (rtd) 0.9375 0.9375 0.93755.5%+0.0082 0.88%
OSK-UOB CP US Recovery Fund (mtd) 1.0032 1.0032 1.00322.5%+0.0009 0.09%
RHB-OSK Flexifund Equity China A 1.4205 1.4205 1.42055.0%+0.0000 0.00%
RHB-OSK Flexifund Money Market RMB 1.4205 1.4205 1.42052.0%+0.1507 11.87%
OSK-UOB Asian Advantage Bond (mtd) 0.8114 0.8114 0.81142.0%-0.2721-25.11%
RHB-OSK US Focus Equity 0.8563 0.8563 0.85635.5%-0.0014 -0.16%
RHB-OSK Asia Financials Fund 0.6783 0.6783 0.67835.5%-0.0105 -1.52%
RHB-OSK Indonesia Equity Growth 0.4713 0.4713 0.47135.5%-0.0025 -0.53%
RHB-OSK Multi-Asset Recovery Strategy 0.5640 0.5640 0.56405.0%-0.0048 -0.84%
OSK-UOB US Legendary Fund (rtd) 1.1516 1.1516 1.15162.3%+0.0115 1.01%
RHB-OSK Agriculture Fund 0.2461 0.2461 0.24615.0%-0.0020 -0.81%
RHB-OSK Deposits Fund 1.0032 1.0032 1.00320.0%-0.0016 -0.16%
RHB-OSK Emerging Markets Bond 0.5911 0.5911 0.59112.5%-0.0012 -0.20%
RHB-OSK Asian Income Fund 0.5983 0.5983 0.59835.5%-0.0056 -0.93%
RHB-OSK Dana KidSave 0.5590 0.5590 0.55906.4%+0.0138 2.53%
RHB Asset Mgmt Sdn. Bhd.December 31, 2008
RHB Index (Ended) 1.1088 1.1088 1.10880.8%+0.0000 0.00%
RHB Technology (Ended) 0.4068 0.4068 0.40686.0%+0.0000 0.00%
RHB Balanced (Ended) 0.7589 0.7589 0.75896.0%-0.0000 -0.00%
RHB GoldenLife 2010 (End) 0.6486 0.6486 0.64866.0%+0.0016 0.25%
RHB Global Islamic PS1 (mtd) 1.0787 1.0787 1.07870.0%+0.0004 0.04%
RHB Asia Pac Select (I) CG (mtd) 0.4681 0.4681 0.46811.8%-0.6053-56.39%
RHB Commodities CP (mtd) 1.0000 1.0000 1.00003.5%-0.0655 -6.15%
RHB Savings Builder (ended) 0.4199 0.4199 0.41995.0%-0.0117 -2.71%
RHB Global Financials CP (mtd) 1.0334 1.0334 1.03342.8%+0.0005 0.05%
RHB China Averaging CP (mtd) 1.0398 1.0398 1.03983.5%+0.0017 0.16%
RHB-OSK Asia Pacific Maqasid (rtd) 0.3469 0.3469 0.34695.0%-0.0180 -4.93%
RHB Dynamic Oil-Gold CP Fund (mtd) 1.0325 1.0325 1.03253.0%+0.0000 0.00%
RHB-OSK-GS US Equity Fund 0.8420 0.8420 0.84205.0%-0.0007 -0.08%
RHB Islamic Enhanced Cash Fund (rtd) 0.8671 0.8671 0.86710.0%+0.0000 0.00%
TA Investment Mgmt BhdJanuary 6, 2011
TA North Asian Opportunities CP (mtd) 1.0879 1.0879 1.08792.7%+0.0046 0.42%
TA Select Titans in Asia CP (rtd) 1.0262 1.0262 1.02623.0%+0.0000 0.00%
TA Australia Income Fund II (mtd) 1.0225 1.0225 1.02253.5%+0.0000 0.00%
Daily prices courtesy of TheEdge Financial Daily