Accessibility & Settings

Accessibility & Settings

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Provider Fund NAV Date
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-BOND FUND 2.3743 23/04/2024
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-DANA IKHTIAR 1.0881 23/04/2024
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-ENTERPRISE FUND 3.6060 23/04/2024
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-LUXURY FUND 0.4699 23/04/2024
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-MANAGED FUND 3.2674 23/04/2024
TOKIO MARINE LIFE INSURANCE MALAYSIA BHD TOKIOMARINE-ORIENT FUND 1.6304 23/04/2024
MANULIFE INSURANCE (MALAYSIA) BERHAD MANULIFE MANAGED FUND 5.2382 23/04/2024
MANULIFE INSURANCE (MALAYSIA) BERHAD MANULIFE EQUITY FUND 6.5850 23/04/2024
MANULIFE INSURANCE (MALAYSIA) BERHAD MANULIFE INCOME FUND 2.1552 23/04/2024
MANULIFE INSURANCE (MALAYSIA) BERHAD DANA EKUITI DINAMIK 4.5977 23/04/2024