Accessibility & Settings

Accessibility & Settings

DEACTIVATE READER VIEW
0
0
Provider Fund NAV Date Disclosure Document Product Highlight Sheet Annual Report / Interim Report Fund Factsheet
ABRDN ISLAMIC MALAYSIA SDN BHD ABRDN ISLAMIC WORLD EQUITY FUND - MYR 0.6690 25/04/2024
AHAM ASSET MANAGEMENT BERHAD AHAM AIIMAN GROWTH FUND - MYR 1.2813 25/04/2024
AHAM ASSET MANAGEMENT BERHAD AHAM AIIMAN ESG INCOME PLUS FUND (FORMERLY KNOWN AS AHAM AIIMAN INCOME PLUS FUND) - MYR 0.5820 25/04/2024
AHAM ASSET MANAGEMENT BERHAD AHAM ASEAN FLEXI FUND - MYR 0.5546 25/04/2024
AHAM ASSET MANAGEMENT BERHAD AHAM ENHANCED DEPOSIT FUND - MYR 1.2110 25/04/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT ASIA (EX JAPAN) OPPORTUNITY FUND - MYR 0.7585 25/04/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT ASIA (EX JAPAN) QUANTUM FUND - MYR 1.9160 25/04/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT ASIA PACIFIC (EX JAPAN) BALANCED FUND - MYR 0.5877 25/04/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT ASIA PACIFIC (EX JAPAN) DIVIDEND FUND - MYR 0.6410 25/04/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT ASIA PACIFIC (EX JAPAN) REITS FUND - MYR 0.3865 25/04/2024