Accessibility & Settings

Accessibility & Settings

DEACTIVATE READER VIEW
0
0
Provider Fund NAV Date
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-BOND FUND 2.3740 19/04/2024
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-DANA IKHTIAR 1.0821 19/04/2024
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-ENTERPRISE FUND 3.5777 19/04/2024
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-LUXURY FUND 0.4611 19/04/2024
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-MANAGED FUND 3.2493 19/04/2024
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-ORIENT FUND 1.6049 19/04/2024
MANULIFE INSURANCE (MALAYSIA) BERHAD MANULIFE MANAGED FUND 5.1915 19/04/2024
MANULIFE INSURANCE (MALAYSIA) BERHAD MANULIFE EQUITY FUND 6.5018 19/04/2024
MANULIFE INSURANCE (MALAYSIA) BERHAD MANULIFE INCOME FUND 2.1548 19/04/2024
MANULIFE INSURANCE (MALAYSIA) BERHAD DANA EKUITI DINAMIK 4.5379 19/04/2024