Investment - Unit Trust Prices
Nothing on this page shall be construed by you as our investment advice. The information herein is not provided by us as an adviser and we shall not assume any responsibility for the accuracy and completeness of the information or the performance of any investment made by you upon your reliance on the information.

All prices are indicative and for your reference only.

Last Update: 3 December 2025



ABERDEEN ASSET MANAGEMENT ASIA LIMITED
Name of Funds Bid/NAV Price Offer Price Price as at
ABERDEEN STANDARD ASIAN SMALLER COMPANIES FUND (USD) US$3.2962 - 28 Dec 2021
ABERDEEN STANDARD CHINA OPPORTUNITIES FUND (USD) US$3.6805 - 28 Dec 2021
ABERDEEN STANDARD GLOBAL EMERGING MARKETS FUND (USD) US$3.2672 - 28 Dec 2021
ABERDEEN STANDARD INDIA OPPORTUNITIES FUND (USD) US$7.2662 - 28 Dec 2021
ABERDEEN STANDARD JAPAN EQUITY FUND (SGD) S$1.7503 - 21 Jun 2021
ABERDEEN STANDARD MALAYSIAN EQUITY FUND (USD) US$3.6961 - 28 Dec 2021
ABERDEEN STANDARD SINGAPORE EQUITY FUND (USD) US$2.6208 - 28 Dec 2021
ABERDEEN STANDARD THAILAND EQUITY FUND (USD) US$4.0696 - 28 Dec 2021
ABRDN ALL CHINA SUSTAINABLE EQUITY FUND (SGD) S$3.5689 - 01 Dec 2025
ABRDN ASIAN SMALLER COMPANIES FUND (SGD) S$3.1708 - 01 Dec 2025
ABRDN EUROPEAN SUSTAINABLE EQUITY FUND (SGD) S$1.9190 - 01 Dec 2025
ABRDN GLOBAL EMERGING MARKETS FUND (SGD) S$2.7636 - 01 Dec 2025
ABRDN GLOBAL SUSTAINABLE EQUITY FUND (SGD) S$1.6350 - 01 Dec 2025
ABRDN GLOBAL TECHNOLOGY FUND (SGD) S$2.3787 - 01 Dec 2025
ABRDN INDIA OPPORTUNITIES FUND (SGD) S$5.2198 - 01 Dec 2025
ABRDN INDONESIA EQUITY FUND (SGD) S$4.1819 - 01 Dec 2025
ABRDN INDONESIA EQUITY FUND (USD) US$3.7196 - 01 Dec 2025
ABRDN MALAYSIAN EQUITY FUND (SGD) S$6.3570 - 01 Dec 2025
ABRDN PACIFIC EQUITY FUND (SGD) S$7.4684 - 01 Dec 2025
ABRDN PACIFIC EQUITY FUND (USD) US$4.5389 - 01 Dec 2025
ABRDN SINGAPORE EQUITY FUND (SGD) S$9.4501 - 01 Dec 2025
ABRDN THAILAND EQUITY FUND (SGD) S$7.2020 - 01 Dec 2025
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ALLIANCEBERNSTEIN INVESTMENTS
Name of Funds Bid/NAV Price Offer Price Price as at
AB FCP I AMERICAN INCOME PORTFOLIO AT GBP-H GBP10.3500 - 01 Dec 2025
AB FCP I AMERICAN INCOME PORTFOLIO CLASS AT SGD-H S$10.5600 - 01 Dec 2025
AB FCP I EUROPEAN INCOME PORTFOLIO AT AUD-H AUD12.5000 - 01 Dec 2025
AB FCP I EUROPEAN INCOME PORTFOLIO AT SGD-H S$11.9500 - 01 Dec 2025
AB FCP I GLOBAL HIGH YIELD CLASS AT USD US$3.1300 - 01 Dec 2025
AB FCP I GLOBAL HIGH YIELD PORT AT (AUD-H) AUD10.2500 - 01 Dec 2025
AB FCP I GLOBAL HIGH YIELD PORT AT SGD-H S$9.5800 - 01 Dec 2025
AB FCP I GLOBAL HIGH YIELD PORTFOLIO CLASS A USD US$3.1700 - 01 Dec 2025
AB FCP I GLOBAL HIGH YIELD PORTFOLIO CLASS AT EUR-H MDIS EUR10.5200 - 01 Dec 2025
AB FCP I GLOBAL HIGH YIELD PORTFOLIO CLASS AT RMB-H MDIS CNH68.2000 - 01 Dec 2025
AB FCP l AMERICAN INCOME PORTFOLIO CLASS AT USD US$6.4500 - 01 Dec 2025
AB FCP l GLOBAL HIGH YIELD CLASS AA (USD) US$7.7100 - 01 Dec 2025
AB SICAV I LOW VOLATILITY EQUITY CLASS AD USD US$26.6200 - 01 Dec 2025
AB SICAV I RMB INCOME PLUS PORTFOLIO CLASS AT USD US$11.3000 - 01 Dec 2025
AB SICAV I ASIA INCOME OPPORTUNITIES PORTFOLIO CLASS A2 USD US$17.7200 - 01 Dec 2025
AB SICAV I ASIA INCOME OPPORTUNITIES PORTFOLIO CLASS AA USD US$10.3800 - 01 Dec 2025
AB SICAV I ASIA INCOME OPPORTUNITIES PORTFOLIO CLASS AT AUD-H AUD11.5400 - 01 Dec 2025
AB SICAV I ASIA INCOME OPPORTUNITIES PORTFOLIO CLASS AT SGD-H S$11.5200 - 01 Dec 2025
AB SICAV I ASIA INCOME OPPORTUNITIES PORTFOLIO CLASS AT USD US$11.8700 - 01 Dec 2025
AB SICAV I ASIA PACIFIC LOCAL CURRENCY DEBT PORTFOLIO AT USD US$9.5900 - 26 Sep 2023
AB SICAV I CONCENTRATED US EQUITY PORTFOLIO CLASS A AUD-H AUD44.0300 - 01 Dec 2025
AB SICAV I EMERGING MARKETS MULTI-ASSET CLASS AD USD US$12.5100 - 01 Dec 2025
AB SICAV I EMERGING MARKETS MULTI-ASSET PORTFOLIO SGD S$12.6000 - 01 Dec 2025
AB SICAV I FLEXIBLE INCOME PORTFOLIO ATX GBP-H GBP11.1100 - 01 Dec 2025
AB SICAV I FLEXIBLE INCOME PORTFOLIO ATX SGD-H S$11.3100 - 01 Dec 2025
AB SICAV I INTERNATIONAL HEALTH CARE PORTFOLIO CLASS A SGD S$766.3200 - 01 Dec 2025
AB SICAV I LOW VOLATILITY EQUITY CLASS AD AUD-H AUD23.8700 - 01 Dec 2025
AB SICAV I LOW VOLATILITY EQUITY CLASS AD SGD-H S$25.2100 - 01 Dec 2025
AB SICAV I LOW VOLATILITY EQUITY PORTFOLIO A SGD-H S$39.8100 - 01 Dec 2025
AB SICAV I SELECT ABSOLUTE ALPHA CLASS A (AUD-H) AUD22.8800 - 29 Mar 2022
AB SICAV I SELECT ABSOLUTE ALPHA CLASS A (EUR-H) EUR26.6200 - 01 Dec 2025
AB SICAV I SELECT ABSOLUTE ALPHA CLASS A (SGD-H) S$29.9600 - 01 Dec 2025
AB SICAV I SELECT ABSOLUTE ALPHA CLASS A (USD) US$31.8200 - 01 Dec 2025
AB SICAV I SELECT ABSOLUTE ALPHA CLASS A GBP-H GBP29.3800 - 01 Dec 2025
AB SICAV I SUSTAINABLE GLOBAL THEMATIC PORTFOLIO A SGD-H S$32.0000 - 01 Dec 2025
AB SICAV I SUSTAINABLE GLOBAL THEMATIC PORTFOLIO A USD US$43.5700 - 01 Dec 2025
AB SICAV I SUSTAINABLE GLOBAL THEMATIC PORTFOLIO CLASS A SGD S$56.5100 - 01 Dec 2025
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ALLIANZ GLOBAL INVESTORS SINGAPORE LIMITED
Name of Funds Bid/NAV Price Offer Price Price as at
ALLIANZ DYNAMIC ASIAN HIGH YIELD BOND AMG DIS (AUD-H) AUD4.0612 - 01 Dec 2025
ALLIANZ DYNAMIC ASIAN HIGH YIELD BOND AMG DIS (EUR-H) EUR4.1479 - 01 Dec 2025
ALLIANZ DYNAMIC ASIAN HIGH YIELD BOND AMG DIS (GBP-H) GBP4.2554 - 01 Dec 2025
ALLIANZ DYNAMIC ASIAN HIGH YIELD BOND AMG DIS (SGD-H) S$4.0968 - 01 Dec 2025
ALLIANZ DYNAMIC ASIAN HIGH YIELD BOND AMG DIS (USD) US$4.3099 - 01 Dec 2025
ALLIANZ ALL CHINA EQUITY AT H2 RMB CNH11.6169 - 01 Dec 2025
ALLIANZ ALL CHINA EQUITY AT USD US$13.4438 - 01 Dec 2025
ALLIANZ ASIAN MULTI INCOME PLUS CLASS AMG H2 (AUD) AUD6.8839 - 01 Dec 2025
ALLIANZ ASIAN MULTI INCOME PLUS CLASS AMG H2 RMB CNH7.1952 - 01 Dec 2025
ALLIANZ ASIAN MULTI INCOME PLUS CLASS AMG USD US$7.7704 - 01 Dec 2025
ALLIANZ CHINA A-SHARES AT SGD S$12.9217 - 01 Dec 2025
ALLIANZ CHINA A-SHARES AT USD US$13.5696 - 01 Dec 2025
ALLIANZ CHINA A-SHARES CLASS AT (RMB) CNH9.1731 - 01 Dec 2025
ALLIANZ CHINA A-SHARES PT USD US$1,439.6300 - 01 Dec 2025
ALLIANZ DYNAMIC ASIAN HIGH YIELD BOND AMG DIS (H2 RMB) CNH4.0391 - 01 Dec 2025
ALLIANZ DYNAMIC ASIAN HIGH YIELD BOND AMG SGD S$3.5850 - 01 Dec 2025
ALLIANZ EUROPE EQUITY GROWTH FUND (EUR) ACC EUR344.7900 - 01 Dec 2025
ALLIANZ EUROPE EQUITY GROWTH FUND (SGD-H) S$25.1355 - 01 Dec 2025
ALLIANZ EUROPE EQUITY GROWTH FUND (USD-H) US$26.4097 - 01 Dec 2025
ALLIANZ EUROPE EQUITY GROWTH SELECT FUND (EUR) ACC EUR207.7900 - 01 Dec 2025
ALLIANZ EUROPE EQUITY GROWTH SELECT FUND (SGD-H) ACC S$16.1470 - 01 Dec 2025
ALLIANZ EUROPE EQUITY GROWTH SELECT FUND (USD-H) ACC US$17.9276 - 01 Dec 2025
ALLIANZ EUROPEAN EQUITY DIVIDEND FUND CLASS AM SGD-H S$9.3461 - 01 Dec 2025
ALLIANZ EUROPEAN EQUITY DIVIDEND CLASS AM (EUR) DIS EUR10.6805 - 01 Dec 2025
ALLIANZ EUROPEAN EQUITY DIVIDEND CLASS AM DIS H2-USD US$10.8737 - 01 Dec 2025
ALLIANZ EUROPEAN EQUITY DIVIDEND CLASS AM H2-AUD AUD10.0732 - 01 Dec 2025
ALLIANZ GLOBAL ARTIFICIAL INTELLIGENCE AT ACC (EUR) EUR312.7600 - 01 Dec 2025
ALLIANZ GLOBAL ARTIFICIAL INTELLIGENCE AT ACC (H2-EUR) EUR275.4600 - 01 Dec 2025
ALLIANZ GLOBAL ARTIFICIAL INTELLIGENCE AT ACC (H2-SGD) S$25.8315 - 01 Dec 2025
ALLIANZ GLOBAL ARTIFICIAL INTELLIGENCE AT ACC (HKD) HKD28.5903 - 01 Dec 2025
ALLIANZ GLOBAL ARTIFICIAL INTELLIGENCE AT ACC (USD) US$33.8963 - 01 Dec 2025
ALLIANZ GLOBAL ARTIFICIAL INTELLIGENCE ET (H2-SGD) S$9.8703 - 01 Dec 2025
ALLIANZ GLOBAL FLOATING RATE NOTES PLUS AMG (AUD-H) MDIS AUD9.2370 - 01 Dec 2025
ALLIANZ GLOBAL FLOATING RATE NOTES PLUS AMG (SGD-H) MDIS S$9.0748 - 01 Dec 2025
ALLIANZ GLOBAL FLOATING RATE NOTES PLUS AMG USD MDIS US$9.3205 - 01 Dec 2025
ALLIANZ GLOBAL FLOATING RATE NOTES PLUS AT (EUR-H) ACC EUR108.3600 - 01 Dec 2025
ALLIANZ GLOBAL FLOATING RATE NOTES PLUS AT (SGD-H) ACC S$11.6879 - 01 Dec 2025
ALLIANZ GLOBAL FLOATING RATE NOTES PLUS AT USD ACC US$12.6287 - 01 Dec 2025
ALLIANZ GLOBAL OPPORTUNISTIC BOND AMG (H2-SGD) S$8.1006 - 01 Dec 2025
ALLIANZ GLOBAL SUSTAINABILITY AM (H2-SGD) MDIS S$12.5978 - 01 Dec 2025
ALLIANZ GLOBAL SUSTAINABILITY AM (H2-USD) MDIS US$12.9913 - 01 Dec 2025
ALLIANZ GLOBAL SUSTAINABILITY AMGI (H2-SGD) S$9.3155 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AM (H2-RMB) CNH7.0973 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AM DIS (H2-AUD) AUD7.8487 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AM DIS (H2-CHF) CHF10.4517 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AM DIS (H2-EUR) EUR8.0201 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AM DIS (H2-GBP) GBP7.8089 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AM DIS (H2-NZD) NZD7.0942 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AM DIS (USD) US$8.5113 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AMG2 (USD) US$12.9715 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AMGi23 DIS (H2-SGD) S$12.2276 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AMi DIS (H2-CHF) CHF9.6013 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AMi3 DIS (H2-SGD) S$7.7779 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS AT ACC (USD) US$29.0143 - 01 Dec 2025
ALLIANZ INCOME AND GROWTH - CLASS PM DIS (USD) US$843.7700 - 01 Dec 2025
ALLIANZ STRATEGIC BOND AT ACC (H2-SGD) S$6.8943 - 01 Dec 2025
ALLIANZ STRATEGIC BOND AT ACC (USD) US$7.9020 - 01 Dec 2025
ALLIANZ THEMATIC AMG USD US$13.1745 - 01 Dec 2025
ALLIANZ THEMATICA AMG H2-AUD AUD11.9261 - 01 Dec 2025
ALLIANZ THEMATICA AMGi H2-SGD S$12.5344 - 01 Dec 2025
ALLIANZ US HIGH YIELD (MDIS) (SGD-H) S$5.5908 - 01 Dec 2025
ALLIANZ US HIGH YIELD AM (H2-AUD) AUD5.7750 - 01 Dec 2025
ALLIANZ US HIGH YIELD AM (H2-EUR) EUR6.1081 - 01 Dec 2025
ALLIANZ US HIGH YIELD AM (USD) US$5.8052 - 01 Dec 2025
ALLIANZ US SHORT DURATION HIGH INCOME BOND AM (H2-AUD) (DIS) AUD8.4312 - 01 Dec 2025
ALLIANZ US SHORT DURATION HIGH INCOME BOND AM (H2-EUR) (DIS) EUR8.9601 - 01 Dec 2025
ALLIANZ US SHORT DURATION HIGH INCOME BOND AM (H2-GBP) (DIS) GBP8.7407 - 01 Dec 2025
ALLIANZ US SHORT DURATION HIGH INCOME BOND AM (H2-SGD) (DIS) S$8.2854 - 01 Dec 2025
ALLIANZ US SHORT DURATION HIGH INCOME BOND AM USD (DIS) US$9.0186 - 01 Dec 2025
ALLIANZ US SHORT DURATION HIGH INCOME BOND AT USD (ACC) US$14.5968 - 01 Dec 2025
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AMANAH MUTUAL BERHAD
Name of Funds Bid/NAV Price Offer Price Price as at
MAYBANK VALUE TRUST FUND (SGD) S$0.4709 - 20 Dec 2019
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AMUNDI ASSET MANAGEMENT (S) LTD
Name of Funds Bid/NAV Price Offer Price Price as at
AMUNDI FUNDS EMERGING MARKET BLENDED BOND A2 (EUR) ACC EUR112.8500 - 01 Dec 2025
AMUNDI FUNDS EMERGING MARKETS BLENDED BOND A2 (SGD-H) ACC S$115.4500 - 01 Dec 2025
AMUNDI FUNDS EMERGING MARKETS BLENDED BOND A2 (SGD-H) MDIST S$75.6300 - 01 Dec 2025
AMUNDI FUNDS EUROPE EQUITY INCOME SELECT - A2 SGD HGD QTI (D) S$51.4600 - 01 Dec 2025
AMUNDI FUNDS GLOBAL AGGREGATE BOND A2HS-MD (SGD) S$85.5800 - 01 Dec 2025
AMUNDI FUNDS GLOBAL AGGREGATE BOND A2U-C (USD) US$127.4800 - 01 Dec 2025
AMUNDI FUNDS GLOBAL AGGREGATE BOND A2U-MD (USD) US$94.1000 - 01 Dec 2025
AMUNDI FUNDS POLEN CAPITAL GLOBAL GROWTH A2 (SGD-H) ACC S$49.1800 - 01 Feb 2024
AMUNDI FUNDS POLEN CAPITAL GLOBAL GROWTH A2 (USD) ACC US$20.0500 - 01 Dec 2025
AMUNDI FUNDS REAL ASSETS TARGET INCOME - A2 SGD HGD MTI (D) S$42.2900 - 01 Dec 2025
FIRST EAGLE AMUNDI INCOME BUILDER FUND A2U MD (D) USD US$106.5800 - 01 Dec 2025
FIRST EAGLE AMUNDI INCOME BUILDER FUND AHS-MD (SGD) S$93.3000 - 28 Nov 2025
FIRST EAGLE AMUNDI INCOME BUILDER FUND AHS-MD (SGD-H) S$91.0800 - 01 Dec 2025
FIRST EAGLE AMUNDI INTERNATIONAL FUND (AHS-C) (SGD-H) ACC S$188.6700 - 01 Dec 2025
FIRST EAGLE AMUNDI INTERNATIONAL FUND (AHS-MD) (SGD-H) S$122.2000 - 01 Dec 2025
FIRST EAGLE AMUNDI INTERNATIONAL FUND (AHS-QD) (SGD-H) S$121.5000 - 01 Dec 2025
FIRST EAGLE AMUNDI INTERNATIONAL FUND (AS-C) (SGD) S$269.5200 - 01 Dec 2025
FIRST EAGLE AMUNDI INTERNATIONAL FUND (AU2-C) (USD) US$213.2800 - 01 Dec 2025
KBI GLOBAL ENERGY TRANSITION FUND - SGD CLASS B (C) S$11.5090 - 01 Dec 2025
KBI GLOBAL ENERGY TRANSITION FUND - USD CLASS G (C) US$11.9840 - 01 Dec 2025
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BLACKROCK
Name of Funds Bid/NAV Price Offer Price Price as at
BGF - ASIAN DRAGON FUND A2 (SGD-H) S$16.5800 - 01 Dec 2025
BGF - ASIAN DRAGON FUND A2 USD US$58.8000 - 01 Dec 2025
BGF - ASIAN DRAGON FUND D2 (USD) ACC US$67.2100 - 01 Dec 2025
BGF - ASIAN GROWTH LEADERS A2 (SGD-H) S$17.1600 - 01 Dec 2025
BGF - ASIAN GROWTH LEADERS FUND A2 USD ACC US$25.7600 - 01 Dec 2025
BGF - ASIAN HIGH YIELD BOND FUND A6 USD US$5.0300 - 01 Dec 2025
BGF - ASIAN HIGH YIELD BOND FUND A8 (SGD-H) MDIST S$5.8300 - 01 Dec 2025
BGF - ASIAN TIGER BOND FUND A6 EUR HEDGED EUR6.3700 - 01 Dec 2025
BGF - ASIAN TIGER BOND FUND A6 SGD-H S$6.4700 - 01 Dec 2025
BGF - ASIAN TIGER BOND FUND A6 USD MDIS US$8.4800 - 01 Dec 2025
BGF - ASIAN TIGER BOND FUND A8 AUD-H AUD8.2000 - 01 Dec 2025
BGF - CHINA BOND FUND A2 (RMB) ACC CNH110.8400 - 01 Dec 2025
BGF - CHINA BOND FUND A2 (USD) ACC US$15.6800 - 01 Dec 2025
BGF - CHINA BOND FUND A2 (USD-H) ACC US$11.6600 - 01 Dec 2025
BGF - CHINA BOND FUND A6 (AUD-H) MDIST AUD8.1100 - 01 Dec 2025
BGF - CHINA BOND FUND A6 (EUR-H) MDIST EUR7.4200 - 01 Dec 2025
BGF - CHINA BOND FUND A6 (GBP-H) MDIST GBP8.1700 - 01 Dec 2025
BGF - CHINA BOND FUND A6 (RMB) MDIST CNH86.1000 - 01 Dec 2025
BGF - CHINA BOND FUND A6 (SGD-H) MDIST S$8.0600 - 01 Dec 2025
BGF - CHINA BOND FUND A6 (USD-H) MDIST US$8.5900 - 01 Dec 2025
BGF - CHINA FUND A2 USD ACC US$20.6200 - 01 Dec 2025
BGF - CONTINENTAL EUROPEAN FLEXIBLE FUND D2 USD-HEDGED US$80.1500 - 01 Dec 2025
BGF - DYNAMIC HIGH INCOME FUND A2 (SGD-H) ACC S$12.7700 - 01 Dec 2025
BGF - DYNAMIC HIGH INCOME FUND A2 USD US$14.1200 - 01 Dec 2025
BGF - DYNAMIC HIGH INCOME FUND A6 EUR-H EUR6.7400 - 01 Dec 2025
BGF - DYNAMIC HIGH INCOME FUND A6 GBP-H GBP7.3300 - 01 Dec 2025
BGF - DYNAMIC HIGH INCOME FUND A6 HKD-H HKD76.2600 - 01 Dec 2025
BGF - DYNAMIC HIGH INCOME FUND A6 JPY-H JPY973.0000 - 01 Dec 2025
BGF - DYNAMIC HIGH INCOME FUND A6 SGD-H S$7.3500 - 01 Dec 2025
BGF - DYNAMIC HIGH INCOME FUND A6 USD US$8.1800 - 01 Dec 2025
BGF - DYNAMIC HIGH INCOME FUND A8 AUD-H AUD7.7600 - 01 Dec 2025
BGF - DYNAMIC HIGH INCOME FUND A8 RMB-H CNH80.0900 - 01 Dec 2025
BGF - EMERGING MARKETS EQUITY INCOME FUND A2 USD ACC US$23.4100 - 01 Dec 2025
BGF - ESG MULTI-ASSET FUND A10 (CNH-H) MDIST CNH90.3000 - 01 Dec 2025
BGF - ESG MULTI-ASSET FUND A10 (SGD-H) MDIST S$9.4300 - 01 Dec 2025
BGF - ESG MULTI-ASSET FUND A10 (USD-H) MDIST US$9.8500 - 01 Dec 2025
BGF - ESG MULTI-ASSET FUND A2 (EUR) ACC EUR21.3500 - 01 Dec 2025
BGF - ESG MULTI-ASSET FUND A2 (SGD-H) ACC S$13.5600 - 01 Dec 2025
BGF - ESG MULTI-ASSET FUND A2 (USD-H) ACC US$60.4400 - 01 Dec 2025
BGF - ESG MULTI-ASSET FUND A8 (SGD-H) MDIST S$11.7000 - 01 Dec 2025
BGF - ESG MULTI-ASSET FUND A8 (USD-H) MDIST US$12.0700 - 01 Dec 2025
BGF - EUROPEAN EQUITY INCOME FUND A5 (EUR) DIS EUR17.1400 - 01 Dec 2025
BGF - EUROPEAN EQUITY INCOME FUND A6 (EUR) MDIS EUR12.8000 - 01 Dec 2025
BGF - EUROPEAN EQUITY INCOME FUND A6 (GBP-H) (DIS) GBP17.2200 - 01 Dec 2025
BGF - EUROPEAN EQUITY INCOME FUND A6 (SGD-H) (DIS) S$14.3200 - 01 Dec 2025
BGF - EUROPEAN EQUITY INCOME FUND A6 (USD-H) (DIS) US$15.8500 - 01 Dec 2025
BGF - EUROPEAN EQUITY INCOME FUND A8 (AUD-H) (DIS) AUD13.1200 - 01 Dec 2025
BGF - EUROPEAN FOCUS FUND A2 USD-H ACC US$26.0500 - 01 Dec 2025
BGF - EUROPEAN FUND A2 EUR EUR191.2900 - 01 Dec 2025
BGF - EUROPEAN SPECIAL SITUATIONS FUND A2 EUR EUR58.8300 - 01 Dec 2025
BGF - FINTECH FUND A2 (SGD-H) ACC S$13.5700 - 01 Dec 2025
BGF - GLOBAL ALLOCATION FUND A2 (AUD-H) AUD24.8100 - 01 Dec 2025
BGF - GLOBAL ALLOCATION FUND A2 (EUR) EUR78.8900 - 01 Dec 2025
BGF - GLOBAL ALLOCATION FUND A2 (EUR-H) EUR50.4700 - 01 Dec 2025
BGF - GLOBAL ALLOCATION FUND A2 (GBP-H) GBP44.1800 - 01 Dec 2025
BGF - GLOBAL ALLOCATION FUND A2 (SGD-H) S$19.8700 - 01 Dec 2025
BGF - GLOBAL ALLOCATION FUND A2 (USD) US$91.7800 - 01 Dec 2025
BGF - GLOBAL ALLOCATION FUND C2 (USD) US$65.2400 - 01 Dec 2025
BGF - GLOBAL EQUITY INCOME FUND A2 (SGD-H) S$23.1800 - 01 Dec 2025
BGF - GLOBAL EQUITY INCOME FUND A2 (USD) US$28.0600 - 01 Dec 2025
BGF - GLOBAL EQUITY INCOME FUND A5 (GBP) GBP13.9400 - 01 Dec 2025
BGF - GLOBAL EQUITY INCOME FUND A6 (SGD-H) S$13.3500 - 01 Dec 2025
BGF - GLOBAL EQUITY INCOME FUND A6 (USD) US$18.5900 - 01 Dec 2025
BGF - GLOBAL EQUITY INCOME FUND A8 (AUD-H) AUD13.9000 - 01 Dec 2025
BGF - GLOBAL MULTI ASSET INCOME FUND A6 USD US$8.4300 - 01 Dec 2025
BGF - GLOBAL MULTI-ASSET INCOME A6 SGD-H S$7.2800 - 01 Dec 2025
BGF - GLOBAL MULTI-ASSET INCOME A8 AUD-H AUD8.1800 - 01 Dec 2025
BGF - GLOBAL MULTI-ASSET INCOME FUND A6 EUR HEDGED EUR6.3900 - 01 Dec 2025
BGF - NEXT GENERATION TECHNOLOGY FUND A2 SGD-H S$22.3900 - 01 Dec 2025
BGF - NEXT GENERATION TECHNOLOGY FUND A2 USD US$24.9100 - 01 Dec 2025
BGF - SUSTAINABLE ENERGY FUND A10 (USD) US$12.0700 - 01 Dec 2025
BGF - SUSTAINABLE ENERGY FUND A2 (EUR) EUR17.3800 - 01 Dec 2025
BGF - SUSTAINABLE ENERGY FUND A2 (EUR-H) EUR17.1700 - 01 Dec 2025
BGF - SUSTAINABLE ENERGY FUND A2 (SGD-H) S$19.6500 - 01 Dec 2025
BGF - SUSTAINABLE ENERGY FUND A2 (USD) US$20.2200 - 01 Dec 2025
BGF - SYSTEMATIC CHINA A-SHARE OPPORTUNITIES FUND A2 USD US$13.4800 - 01 Dec 2025
BGF - SYSTEMATIC GLOBAL EQUITY HIGH INCOME FUND A4G USD US$10.6300 - 01 Dec 2025
BGF - SYSTEMATIC GLOBAL EQUITY HIGH INCOME FUND A6 SGD-H S$9.0200 - 01 Dec 2025
BGF - US DOLLAR HIGH YIELD BOND FUND A3 (GBP-H) MDIST GBP8.8600 - 01 Dec 2025
BGF - US DOLLAR HIGH YIELD BOND FUND A3 (SGD-H) MDIST S$8.7500 - 01 Dec 2025
BGF - US DOLLAR HIGH YIELD BOND FUND A6 USD US$4.3900 - 01 Dec 2025
BGF - US DOLLAR RESERVE FUND A2 USD US$182.7536 - 01 Dec 2025
BGF - WORLD ENERGY FUND A2 (EUR) EUR23.2000 - 01 Dec 2025
BGF - WORLD ENERGY FUND A2 (EUR-H) EUR6.4600 - 01 Dec 2025
BGF - WORLD ENERGY FUND A2 (SGD-H) S$6.9800 - 01 Dec 2025
BGF - WORLD ENERGY FUND A2 (USD) US$26.9900 - 01 Dec 2025
BGF - WORLD FINANCIALS A2 (USD) US$72.5900 - 01 Dec 2025
BGF - WORLD FINANCIALS FUND CLASS A2 HEDGED SGD S$24.8900 - 01 Dec 2025
BGF - WORLD GOLD FUND A2 AUD HEDGED AUD24.6800 - 01 Dec 2025
BGF - WORLD GOLD FUND A2 EUR EUR80.9200 - 01 Dec 2025
BGF - WORLD GOLD FUND A2 EUR HEDGED EUR12.0200 - 01 Dec 2025
BGF - WORLD GOLD FUND A2 SGD-HEDGED S$14.6500 - 01 Dec 2025
BGF - WORLD GOLD FUND A2 USD US$94.1500 - 01 Dec 2025
BGF - WORLD HEALTHSCIENCE FUND A10 USD US$10.0700 - 01 Dec 2025
BGF - WORLD HEALTHSCIENCE FUND A2 (AUD-H) AUD23.7800 - 01 Dec 2025
BGF - WORLD HEALTHSCIENCE FUND A2 (EUR) EUR64.8700 - 01 Dec 2025
BGF - WORLD HEALTHSCIENCE FUND A2 (SGD-H) S$24.0100 - 01 Dec 2025
BGF - WORLD HEALTHSCIENCE FUND A2 (USD) US$75.4700 - 01 Dec 2025
BGF - WORLD HEALTHSCIENCE FUND A2 JPY-H JPY1,353.0000 - 01 Dec 2025
BGF - WORLD HEALTHSCIENCE FUND D2 USD US$86.5000 - 01 Dec 2025
BGF - WORLD MINING FUND A2 (EUR) EUR77.4700 - 01 Dec 2025
BGF - WORLD MINING FUND A2 (EUR-H) EUR6.3400 - 01 Dec 2025
BGF - WORLD MINING FUND A2 (SGD-H) S$7.4300 - 01 Dec 2025
BGF - WORLD MINING FUND A2 (USD) US$90.1300 - 01 Dec 2025
BGF - WORLD TECHNOLOGY FUND A10 USD US$17.0200 - 01 Dec 2025
BGF - WORLD TECHNOLOGY FUND A2 (AUD-H) ACC AUD15.0600 - 01 Dec 2025
BGF - WORLD TECHNOLOGY FUND A2 (EUR) ACC EUR96.1100 - 01 Dec 2025
BGF - WORLD TECHNOLOGY FUND A2 (EUR-H) ACC EUR28.1500 - 01 Dec 2025
BGF - WORLD TECHNOLOGY FUND A2 (GBP) ACC GBP84.3600 - 01 Dec 2025
BGF - WORLD TECHNOLOGY FUND A2 (SGD-H) ACC S$28.2800 - 01 Dec 2025
BGF - WORLD TECHNOLOGY FUND A2 (USD) ACC US$111.8100 - 01 Dec 2025
BGF - WORLD TECHNOLOGY FUND A2 JPY-H JPY2,652.0000 - 01 Dec 2025
BSF - BLACKROCK SYSTEMATIC ASIA PACIFIC EQUITY ABSOLUTE RETURN FUND A2 USD US$198.1700 - 01 Dec 2025
BSF - GLOBAL REAL ASSET SECURITIES FUND A2 (EUR-H) ACC EUR82.4600 - 01 Dec 2025
BSF - GLOBAL REAL ASSET SECURITIES FUND A2 (USD) ACC US$129.8100 - 01 Dec 2025
BSF - GLOBAL REAL ASSET SECURITIES FUND A3 (EUR-H) MDIS EUR54.6500 - 01 Dec 2025
BSF - GLOBAL REAL ASSET SECURITIES FUND A3 (SGD-H) MDIS S$57.8200 - 01 Dec 2025
BSF - GLOBAL REAL ASSET SECURITIES FUND A3 (USD) MDIS US$63.0200 - 01 Dec 2025
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BNP PARIBAS ASSET MANAGEMENT SINGAPORE LTD
Name of Funds Bid/NAV Price Offer Price Price as at
AMSELECT ROBECO GLOBAL CREDIT INCOME (USD) US$103.1000 - 01 Dec 2025
BNP PARIBAS A EUROPEAN MULTI ASSET INCOME (SGD-H) (MDIS) S$75.9600 - 17 Sep 2020
BNP PARIBAS A EUROPEAN MULTI ASSET INCOME (SGD-H) ACC S$108.7800 - 17 Sep 2020
BNP PARIBAS A FUND GLOBAL PORTFOLIO 2025 USD US$99.3400 - 01 Dec 2025
BNP PARIBAS EURO CORPORATE BOND - CLASSIC (EUR) EUR196.2400 - 01 Dec 2025
BNP PARIBAS EUROPE MULTI-ASSET INCOME CLASSIC RH (SGD) MDIST S$70.7500 - 23 Feb 2022
BNP PARIBAS FLEXI I STRUCTURED CREDIT INCOME DIS (USD) US$105.4600 - 28 Nov 2025
BNP PARIBAS FLEXI I US MORTGAGE - CLASSIC H (EUR) EUR1,094.0800 - 01 Dec 2025
BNP PARIBAS FUNDS ASIA EX-JAPAN EQUITY (USD) - PRIV US$261.3300 - 01 Dec 2025
BNP PARIBAS FUNDS DISRUPTIVE TECHNOLOGY (USD) - PRIV US$346.4700 - 01 Dec 2025
BNP PARIBAS FUNDS EMERGING MULTI-ASSET INCOME AUD AUD50.7500 - 01 Dec 2025
BNP PARIBAS FUNDS ENERGY TRANSITION CLASSIC (EUR) ACC EUR618.6500 - 01 Dec 2025
BNP PARIBAS FUNDS ENERGY TRANSITION CLASSIC (EUR) DIST EUR299.9200 - 01 Dec 2025
BNP PARIBAS FUNDS ENERGY TRANSITION CLASSIC (USD) ACC US$91.1900 - 01 Dec 2025
BNP PARIBAS FUNDS ENERGY TRANSITION CLASSIC (USD) DIST US$348.2900 - 01 Dec 2025
BNP PARIBAS FUNDS ENERGY TRANSITION CLASSIC RH (SGD) S$44.6100 - 01 Dec 2025
BNP PARIBAS FUNDS EUROPE MULTI-ASSET INCOME CLASSIC (EUR) EUR101.5300 - 23 Feb 2022
BNP PARIBAS FUNDS EUROPE MULTI-ASSET INCOME CLASSIC (EUR) MDIST EUR69.5900 - 23 Feb 2022
BNP PARIBAS FUNDS EUROPE MULTI-ASSET INCOME CLASSIC RH (AUD) AUD110.7900 - 23 Feb 2022
BNP PARIBAS FUNDS EUROPE MULTI-ASSET INCOME CLASSIC RH (AUD) MDIST AUD68.9900 - 23 Feb 2022
BNP PARIBAS FUNDS EUROPE MULTI-ASSET INCOME CLASSIC RH (HKD) HKD105.7700 - 28 Aug 2020
BNP PARIBAS FUNDS EUROPE MULTI-ASSET INCOME CLASSIC RH (HKD) MDIST HKD68.6100 - 23 Feb 2022
BNP PARIBAS FUNDS EUROPE MULTI-ASSET INCOME CLASSIC RH (SGD) S$111.0600 - 23 Feb 2022
BNP PARIBAS FUNDS EUROPE MULTI-ASSET INCOME CLASSIC RH (USD) US$112.7100 - 23 Feb 2022
BNP PARIBAS FUNDS EUROPE MULTI-ASSET INCOME CLASSIC RH (USD) MDIST US$70.4300 - 23 Feb 2022
BNP PARIBAS FUNDS EUROPE SMALL CAP (EUR) - PRIV EUR287.5300 - 01 Dec 2025
BNP PARIBAS FUNDS MULTI-ASSET THEMATIC (EUR) MDIS EUR89.8200 - 16 Oct 2025
BNP PARIBAS FUNDS MULTI-ASSET THEMATIC (SGD-H) MDIS S$90.3900 - 16 Oct 2025
BNP PARIBAS FUNDS US GROWTH (USD) - PRIV US$605.2000 - 01 Dec 2025
BNP PARIBAS GLOBAL FLOATING RATE PORTFOLIO 2022 SGD S$5.0100 - 31 Oct 2022
BNP PARIBAS ISLAMIC FUND EQUITY OPTIMISER CLASSIC SGD ACC S$135.6700 - 28 Nov 2025
BNP PARIBAS ISLAMIC FUND HILAL INCOME (USD) ACC US$1,715.2990 - 01 Dec 2025
BNP PARIBAS ISLAMIC FUND HILAL INCOME (USD) QDIST US$88.4337 - 01 Dec 2025
BNP PARIBAS ISLAMIC FUND HILAL INCOME CLASSIC SGD ACC S$104.9647 - 01 Dec 2025
BNP PARIBAS ISLAMIC FUNDS EQUITY OPTIMISER (USD) ACC US$3,808.0100 - 28 Nov 2025
BNP PARIBAS ISLAMIC FUNDS EQUITY OPTIMISER (USD) DIST US$203.5600 - 28 Nov 2025
BNP PARIBAS MULTI-ASSET OPPORTUNITIES CLASSIC RH SGD MD DIS S$53.4300 - 01 Dec 2025
BNP PARIBAS SUSTAINABLE ASIAN CITIES BOND CLASSIC (USD) ACC US$164.0000 - 01 Dec 2025
BNP PARIBAS SUSTAINABLE ASIAN CITIES BOND CLASSIC (USD) MDIST US$60.5300 - 01 Dec 2025
BNP PARIBAS SUSTAINABLE ASIAN CITIES BOND CLASSIC RH (AUD) MDIST AUD57.3300 - 01 Dec 2025
BNP PARIBAS SUSTAINABLE ASIAN CITIES BOND CLASSIC RH (SGD) MDIST S$58.5000 - 01 Dec 2025
BNP PARIBAS USD MONEY MARKET US$255.7305 - 28 Nov 2025
BNP PARIBAS USD MONEY MARKET DIST US$108.3861 - 28 Nov 2025
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BNY MELLON GLOBAL MANAGEMENT LIMITED
Name of Funds Bid/NAV Price Offer Price Price as at
BNY MELLON ASIA RISING STARS FUND - CLASS SGD H ACC S$1.1895 - 02 Sep 2020
BNY MELLON ASIA RISING STARS FUND - CLASS USD A (ACC) US$1.2325 - 02 Sep 2020
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DEUTSCHE ASSET MANAGEMENT (ASIA) LTD
Name of Funds Bid/NAV Price Offer Price Price as at
DEUTSCHE ASIAN SMALL / MID CAP FUND (SGD) S$1.6870 - 31 Aug 2017
DEUTSCHE ASIAN SMALL / MID CAP FUND (USD) US$1.2423 - 31 Aug 2017
DEUTSCHE NOOR PRECIOUS METALS FUND (USD) CLASS A US$0.8495 - 28 May 2021
DEUTSCHE NOOR PRECIOUS METALS SECURITIES FUND CLASS J (SGD) S$0.6766 - 28 May 2021
DEUTSCHE NOOR PRECIOUS METALS SECURITIES FUND CLASS SGD LC S$0.8040 - 16 Jul 2025
DWS GLOBAL AGRIBUSINESS FUND A2 CLASS (USD) US$123.9000 - 12 May 2020
DWS GLOBAL AGRIBUSINESS FUND CLASS A2 (SGD) S$0.9818 - 12 May 2020
DWS GLOBAL AGRIBUSINESS FUND LC CLASS (EUR) EUR143.5600 - 12 May 2020
DWS INVEST ASIAN BONDS (AUD) LDMH MDIS AUD83.2800 - 01 Dec 2025
DWS INVEST ASIAN BONDS (USD) LDM MDIS US$83.7400 - 01 Dec 2025
DWS INVEST GLOBAL AGRIBUSINESS EUR LC EUR165.2600 - 01 Dec 2025
DWS INVEST GLOBAL AGRIBUSINESS SGD LC S$10.6000 - 01 Dec 2025
DWS INVEST GLOBAL AGRIBUSINESS USD LC US$151.2300 - 01 Dec 2025
DWS INVEST GLOBAL INFRASTRUCTURE SGD LDMH (P) S$7.4100 - 01 Dec 2025
DWS INVEST I MULTI OPPORTUNITIES S$6.1100 - 01 Dec 2025
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EASTSPRING INVESTMENTS (S) LTD
Name of Funds Bid/NAV Price Offer Price Price as at
EASTSPRING INV - NORTH AMERICAN VALUE FUND A (USD) US$11.0540 - 17 Jul 2020
EASTSPRING INV - NORTH AMERICAN VALUE FUND AS (SGD) S$11.9730 - 17 Jul 2020
EASTSPRING INV - PHILIPPINES EQTY FUND CLASS AS (SGD) S$7.3900 - 01 Dec 2025
EASTSPRING INV UT - PROTECTED GLOBAL TITANS (SGD) S$1.1913 - 07 Sep 2015
EASTSPRING INV-ASIAN LOW VOLATILITY EQUITY ASDM SGD-H DIS S$9.5370 - 01 Dec 2025
EASTSPRING INV-ASIAN LOW VOLATILITY EQUITY FUND A USD ACC US$17.0150 - 01 Dec 2025
EASTSPRING INV-ASIAN LOW VOLATILITY EQUITY FUND ADM USD DIS US$10.6800 - 01 Dec 2025
EASTSPRING INV-ASIAN LOW VOLATILITY EQUITY FUND AS SGD ACC S$14.2340 - 01 Dec 2025
EASTSPRING INV-ASIAN LOW VOLATILITY EQUITY FUND AS SGD-H ACC S$13.5850 - 01 Dec 2025
EASTSPRING INV-ASIAN LOW VOLATILITY EQUITY FUND ASDM SGD DIS S$10.0890 - 01 Dec 2025
EASTSPRING INVESTMENTS - ASIAN EQUITY INCOME (USD) ADM US$8.6040 - 01 Dec 2025
EASTSPRING INVESTMENTS - ASIAN EQUITY INCOME FUND (AUD-H) AUD8.3450 - 01 Dec 2025
EASTSPRING INVESTMENTS - ASIAN EQUITY INCOME FUND (SGD) ASDM S$8.7510 - 01 Dec 2025
EASTSPRING INVESTMENTS - ASIAN EQUITY INCOME FUND (SGD-H) AS S$13.1070 - 01 Dec 2025
EASTSPRING INVESTMENTS - ASIAN HY BOND ANDM (NZD-H) NZD4.1350 - 01 Dec 2025
EASTSPRING INVESTMENTS - ASIAN HY BOND CLASS AADM (AUD-H) AUD4.1020 - 01 Dec 2025
EASTSPRING INVESTMENTS - ASIAN HY BOND CLASS ADM (USD) US$4.2550 - 01 Dec 2025
EASTSPRING INVESTMENTS - ASIAN HY BOND CLASS ASDM (SGD) S$4.3790 - 01 Dec 2025
EASTSPRING INVESTMENTS - ASIAN HY BOND CLASS ASDM (SGD-H) S$3.8900 - 01 Dec 2025
EASTSPRING INVESTMENTS - JAPAN DYNAMIC FUND CLASS A (USD) US$27.0990 - 01 Dec 2025
EASTSPRING INVESTMENTS - JAPAN DYNAMIC FUND CLASS A (USD-H) US$44.8390 - 01 Dec 2025
EASTSPRING INVESTMENTS - JAPAN DYNAMIC FUND CLASS AE (HEDGED) (EUR) EUR31.3220 - 01 Dec 2025
EASTSPRING INVESTMENTS - JAPAN DYNAMIC FUND CLASS AJ (JPY) JPY3,148.0000 - 01 Dec 2025
EASTSPRING INVESTMENTS - JAPAN DYNAMIC FUND CLASS AS (SGD) S$23.2120 - 01 Dec 2025
EASTSPRING INVESTMENTS - JAPAN DYNAMIC FUND CLASS AS (SGD-H) S$41.5480 - 01 Dec 2025
EASTSPRING INVESTMENTS - SINGAPORE SELECT BOND FUND CLASS AD S$1.0120 - 01 Dec 2025
EASTSPRING INVESTMENTS -ASIAN PROPERTY SECURITIES CLASS ASDQ S$6.0110 - 06 Jul 2022
EASTSPRING INVESTMENTS -PHILIPPINES EQUITY FUND CLASS A(USD) US$12.2170 - 01 Dec 2025
EASTSPRING INVESTMENTS FUNDS - MONTHLY INCOME PLAN CLASS A S$0.6050 - 01 Dec 2025
EASTSPRING INVESTMENTS FUNDS - MONTHLY INCOME PLAN CLASS M S$0.5690 - 01 Dec 2025
EASTSPRING INVESTMENTS UT - DRAGON PEACOCK FUND (SGD) S$5.1090 - 01 Dec 2025
EASTSPRING INVESTMENTS UT - GLOBAL BALANCED FUND (SGD) S$1.4380 - 22 Mar 2022
EASTSPRING INVESTMENTS UT - GLOBAL TECHNOLOGY FUND (SGD) S$4.2920 - 01 Dec 2025
EASTSPRING INVESTMENTS UT - GLOBAL THEMES FUND (SGD) S$2.1437 - 22 Mar 2022
EASTSPRING INVESTMENTS UT - PAN EUROPEAN FUND (SGD) S$2.2320 - 01 Dec 2025
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FIL INVESTMENT MANAGEMENT (S) LTD
Name of Funds Bid/NAV Price Offer Price Price as at
FIDELITY ACTIVE STRATEGY - MAYBANK ALPHA CAPITAL & INCOME OPPORTUNITIES FUND A-ACC SGD-H S$114.6400 - 01 Dec 2025
FIDELITY ACTIVE STRATEGY - MAYBANK ALPHA CAPITAL & INCOME OPPORTUNITIES FUND A-ACC USD US$118.7600 - 01 Dec 2025
FIDELITY ACTIVE STRATEGY - MAYBANK ALPHA CAPITAL & INCOME OPPORTUNITIES FUND A-MCDIST (G) USD US$105.3500 - 01 Dec 2025
FIDELITY ACTIVE STRATEGY - MAYBANK ALPHA CAPITAL & INCOME OPPORTUNITIES FUND A-MCDIST(G) SGD-H S$101.8000 - 01 Dec 2025
FIDELITY ACTIVE STRATEGY - MAYBANK ALPHA CAPITAL & INCOME OPPORTUNITIES FUND A-MIN (G) USD US$108.7100 - 01 Dec 2025
FIDELITY ACTIVE STRATEGY - MAYBANK ALPHA CAPITAL & INCOME OPPORTUNITIES FUND A-MIN(G) SGD-H S$105.2400 - 01 Dec 2025
FIDELITY FUNDS - AMERICA FUND A SGD S$3.0410 - 01 Dec 2025
FIDELITY FUNDS - AMERICA FUND A SGD-H S$3.0350 - 01 Dec 2025
FIDELITY FUNDS - ASEAN FUND A (SGD) S$2.0340 - 01 Dec 2025
FIDELITY FUNDS - ASEAN FUND A (USD) US$38.5500 - 01 Dec 2025
FIDELITY FUNDS - ASIA EQUITY ESG FUND (SGD) S$2.7290 - 01 Dec 2025
FIDELITY FUNDS - ASIA EQUITY ESG FUND (USD) US$13.1400 - 01 Dec 2025
FIDELITY FUNDS - ASIA EQUITY ESG FUND A MDIS (SGD-H) S$1.1210 - 01 Dec 2025
FIDELITY FUNDS - ASIA EQUITY ESG FUND A MDIS (USD) US$10.6900 - 01 Dec 2025
FIDELITY FUNDS - ASIA EQUITY ESG FUND SR ACC (SGD) S$2.7980 - 01 Dec 2025
FIDELITY FUNDS - ASIA PACIFIC DIVIDEND FUND (USD) US$35.6900 - 01 Dec 2025
FIDELITY FUNDS - ASIA PACIFIC MA GROWTH & INCOME A-HMDIST AUD (AUD/USD-H) AUD7.6240 - 01 Dec 2025
FIDELITY FUNDS - ASIAN BOND FUND A (EUR-H) EUR7.5270 - 01 Dec 2025
FIDELITY FUNDS - ASIAN BOND FUND A ACC USD US$15.5700 - 01 Dec 2025
FIDELITY FUNDS - ASIAN BOND FUND A HMDIST (G) AUD-H AUD7.7850 - 01 Dec 2025
FIDELITY FUNDS - ASIAN BOND FUND A-MDIST USD US$9.8260 - 01 Dec 2025
FIDELITY FUNDS - ASIAN BOND FUND A-MINCOME (G) SGD-H S$0.7150 - 01 Dec 2025
FIDELITY FUNDS - ASIAN BOND FUND A-MINCOME (G) USD US$7.8960 - 01 Dec 2025
FIDELITY FUNDS - ASIAN BOND FUND Y QDIST USD US$9.1080 - 01 Dec 2025
FIDELITY FUNDS - ASIAN HIGH YIELD FUND A HMDIST AUD-H AUD4.6220 - 01 Dec 2025
FIDELITY FUNDS - ASIAN HIGH YIELD FUND A-MDIST (SGD-H) S$0.4870 - 01 Dec 2025
FIDELITY FUNDS - ASIAN HIGH YIELD FUND A-MDIST (USD) US$4.8060 - 01 Dec 2025
FIDELITY FUNDS - ASIAN HIGH YIELD FUND A-MINCOME (G) SGD-H S$0.4460 - 01 Dec 2025
FIDELITY FUNDS - ASIAN HIGH YIELD FUND A-MINCOME(G)-USD US$4.5350 - 01 Dec 2025
FIDELITY FUNDS - CHINA CONSUMER FUND A SGD S$1.6350 - 01 Dec 2025
FIDELITY FUNDS - CHINA CONSUMER FUND A USD US$16.9200 - 01 Dec 2025
FIDELITY FUNDS - CHINA FOCUS FUND A (SGD) S$2.1610 - 01 Dec 2025
FIDELITY FUNDS - CHINA FOCUS FUND A (USD) US$77.6300 - 01 Dec 2025
FIDELITY FUNDS - CHINA FOCUS FUND SR ACC (SGD) S$2.5820 - 01 Dec 2025
FIDELITY FUNDS - CHINA HIGH YIELD FUND A HMDIST (G) AUD-H AUD4.0276 - 01 Dec 2025
FIDELITY FUNDS - CHINA HIGH YIELD FUND A-MINCOME (G) (SGD-H) S$0.3737 - 01 Dec 2025
FIDELITY FUNDS - CHINA RMB BOND FUND A ACC RMB CNH150.4400 - 01 Dec 2025
FIDELITY FUNDS - EMERGING EUROPE, MIDDLE EAST & AFRICA (EUR) EUR16.5400 - 01 Dec 2025
FIDELITY FUNDS - EMERGING EUROPE, MIDDLE EAST & AFRICA (SGD) S$1.1631 - 18 Dec 2019
FIDELITY FUNDS - EMERGING EUROPE, MIDDLE EAST & AFRICA (USD) US$14.3400 - 01 Dec 2025
FIDELITY FUNDS - EMERGING MARKETS FUND A (SGD) S$1.8560 - 01 Dec 2025
FIDELITY FUNDS - EMERGING MARKETS FUND A ACC (USD) US$25.2200 - 01 Dec 2025
FIDELITY FUNDS - EMERGING MARKETS FUND SR ACC (SGD) S$1.9140 - 01 Dec 2025
FIDELITY FUNDS - EMERGING MARKETS FUNDS A (USD) US$37.6400 - 01 Dec 2025
FIDELITY FUNDS - EUROPEAN DIVIDEND FUND A-MCDIST (G) (EUR) EUR12.1000 - 01 Dec 2025
FIDELITY FUNDS - EUROPEAN DYNAMIC GROWTH A (SGD) S$1.7480 - 01 Dec 2025
FIDELITY FUNDS - EUROPEAN GROWTH CPF ACC FUND (EUR) EUR24.2200 - 01 Dec 2025
FIDELITY FUNDS - EUROPEAN HIGH YIELD FUND (EUR) (MTHLY) EUR10.4000 - 01 Dec 2025
FIDELITY FUNDS - EUROPEAN HIGH YIELD FUND (EUR) (YRLY) EUR9.1240 - 01 Dec 2025
FIDELITY FUNDS - EUROPEAN HIGH YIELD FUND A - MDIST (SGD) S$0.7110 - 01 Dec 2025
FIDELITY FUNDS - EUROPEAN HIGH YIELD FUND A - MDIST (SGD-H) S$0.9950 - 01 Dec 2025
FIDELITY FUNDS - FLEXIBLE BOND FUND A (GBP) GBP0.3120 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL DIVIDEND A-HMDIST(G) (AUD-H) AUD17.7200 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL DIVIDEND A-MINCOME(G) (SGD) S$2.3030 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL DIVIDEND A-MINCOME(G) (USD) US$22.4000 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL DIVIDEND FUND A-MINCOME(G) (SGD-H) S$1.6070 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL FINANCIAL SERVICES FUND A ACC - USD (HEDGED) US$26.2000 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL FINANCIAL SERVICES FUND A-ACC-SGD S$2.6690 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL FINANCIAL SERVICES FUND A-USD US$26.7100 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL INFLATION LINKED BOND FD A-ACC (USD) US$12.1600 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL INFLATION LINKED BOND FUND A (SGD-H) S$1.1586 - 14 Jan 2020
FIDELITY FUNDS - GLOBAL INFLATION LINKED BOND FUND A-ACC (EUR-H) EUR12.5400 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A ACC (EUR-H) EUR12.6300 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A-HMDIST (G) (AUD-H) AUD8.2850 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A-MCDIST (G) USD US$7.8440 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A-MCDIST(G) SGD-H S$0.7340 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A-MDIST (EUR) EUR8.9550 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A-MINCOME (G) HKD HKD7.9100 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A-MINCOME (G) SGD S$0.8060 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A-MINCOME (G) USD US$7.8880 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A-MINCOME SGD-H (GMMSH) S$0.7720 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A-QINCOME (EUR-H) EUR7.0120 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME A-QINCOME (G) SGD S$0.8230 - 01 Dec 2025
FIDELITY FUNDS - GLOBAL MULTI ASSET INCOME FUND ACC (USD) US$14.7400 - 01 Dec 2025
FIDELITY FUNDS - GREATER CHINA FUND (USD) US$317.9000 - 01 Dec 2025
FIDELITY FUNDS - INDIA FOCUS FUND A (SGD) S$2.2050 - 01 Dec 2025
FIDELITY FUNDS - INDONESIA FUND (USD) US$22.8900 - 01 Dec 2025
FIDELITY FUNDS - JAPAN VALUE FUND A (JPY) JPY72,443.0000 - 16 May 2025
FIDELITY FUNDS - KOREA FUND (USD) US$18.8700 - 24 Aug 2017
FIDELITY FUNDS - MALAYSIA FUND (USD) US$40.4400 - 28 Jan 2022
FIDELITY FUNDS - SUSTAINABLE ASIA EQUITY FUND Y-ACC USD US$20.7400 - 01 Dec 2025
FIDELITY FUNDS - TAIWAN FUND (USD) US$24.8400 - 14 Jan 2022
FIDELITY FUNDS - THAILAND FUND (USD) US$38.8700 - 01 Dec 2025
FIDELITY FUNDS - US DOLLAR BOND FUND A-MINCOME(G) - SGD (HEDGED) S$0.9390 - 01 Dec 2025
FIDELITY FUNDS - US HIGH YIELD FUND (USD) (MTHLY) US$10.7200 - 01 Dec 2025
FIDELITY FUNDS - US HIGH YIELD FUND (USD) (YRLY) US$11.4800 - 01 Dec 2025
FIDELITY FUNDS - US HIGH YIELD FUND A - MDIST (SGD) S$0.8280 - 01 Dec 2025
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FIRST SENTIER INVESTORS (HONG KONG) LIMITED (HKD)
Name of Funds Bid/NAV Price Offer Price Price as at
FIRST SENTIER ASIAN QUALITY BOND FUND I MDIST (HKD) HKD83.9712 - 01 Dec 2025
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FIRST SENTIER INVESTORS (HONG KONG) LIMITED (USD)
Name of Funds Bid/NAV Price Offer Price Price as at
FIRST SENTIER ASIAN QUALITY BOND FUND I (USD) ACC US$19.3952 - 01 Dec 2025
FIRST SENTIER ASIAN QUALITY BOND FUND I (USD) MDIST US$8.3813 - 01 Dec 2025
FSSA ASIAN EQUITY PLUS FUND CLASS I (ACC) USD US$104.4649 - 01 Dec 2025
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FIRST SENTIER INVESTORS (SINGAPORE)
Name of Funds Bid/NAV Price Offer Price Price as at
FIRST SENTIER ASIAN QUALITY BOND FUND A (SGD-H) QDIST S$0.7291 - 01 Dec 2025
FIRST SENTIER BRIDGE FUND A (SGD) MDIST S$1.5684 - 01 Dec 2025
FIRST SENTIER BRIDGE FUND A (SGD) SEMI-ANN DIST S$1.5686 - 01 Dec 2025
FIRST SENTIER GLOBAL BALANCED FUND A (SGD) ACC S$1.2732 - 01 Dec 2025
FIRST SENTIER GLOBAL BALANCED FUND A (USD) ACC US$0.9832 - 01 Dec 2025
FIRST SENTIER GLOBAL LISTED INFRASTRUCTURE FUND A (SGD) SEMI DIST S$1.2520 - 01 Dec 2025
FIRST SENTIER GLOBAL LISTED INFRASTRUCTURE FUND A (USD) SEMI-ANN DIST US$0.9668 - 01 Dec 2025
FIRST SENTIER GLOBAL PROPERTY SECURITIES FUND A (SGD) ANN DIST S$0.7113 - 01 Dec 2025
FIRST STATE GLOBAL AGRIBUSINESS FUND (SGD) S$0.9896 - 21 Oct 2016
FIRST STATE GLOBAL AGRIBUSINESS FUND (USD) US$0.7092 - 21 Oct 2016
FIRST STATE GLOBAL RESOURCES (SGD) S$0.8438 - 04 Dec 2018
FIRST STATE GLOBAL RESOURCES (USD) US$0.6183 - 04 Dec 2018
FSSA ASEAN ALL CAP FUND (SGD) S$4.3616 - 01 Dec 2025
FSSA ASEAN ALL CAP FUND (USD) US$3.3680 - 01 Dec 2025
FSSA ASIA OPPORTUNITIES FUND A (SGD) ACC S$1.5348 - 01 Dec 2025
FSSA ASIA OPPORTUNITIES FUND A (USD) ACC US$1.1853 - 01 Dec 2025
FSSA ASIAN GROWTH FUND A (SGD) ACC S$3.8058 - 01 Dec 2025
FSSA ASIAN GROWTH FUND A (USD) ACC US$2.9388 - 01 Dec 2025
FSSA DIVIDEND ADVANTAGE FUND A (SGD) QDIST S$1.9085 - 01 Dec 2025
FSSA DIVIDEND ADVANTAGE FUND A (USD) QDIST US$1.4737 - 01 Dec 2025
FSSA REGIONAL CHINA FUND A (SGD) ACC S$4.9275 - 01 Dec 2025
FSSA REGIONAL CHINA FUND A (USD) ACC US$3.8050 - 01 Dec 2025
FSSA REGIONAL INDIA FUND A (SGD) ACC S$13.2325 - 01 Dec 2025
FSSA REGIONAL INDIA FUND A (USD) ACC US$10.2181 - 01 Dec 2025
STEWART INVESTORS WORLDWIDE LEADERS FUND A (SGD) ACC S$2.7401 - 01 Dec 2025
STEWART INVESTORS WORLDWIDE LEADERS FUND A (USD) ACC US$2.1159 - 01 Dec 2025
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FULLERTON FUND MANAGEMENT COMPANY LTD
Name of Funds Bid/NAV Price Offer Price Price as at
FULLERTON ASIA INCOME RETURN - CLASS A (SGD) S$0.9955 - 01 Dec 2025
FULLERTON GLOBAL ABSOLUTE GROWTH (CLASS C) US$1.0831 - 01 Dec 2021
FULLERTON SGD CASH FUND (SGD) S$1.2209 - 01 Dec 2025
FULLERTON SGD HERITAGE INCOME CLASS B S$0.6931 - 01 Dec 2025
FULLERTON SGD INCOME FUND (CLASS A) S$0.8892 - 01 Dec 2025
FULLERTON SGD INCOME FUND (CLASS B) S$0.8320 - 01 Dec 2025
FULLERTON SGD INCOME FUND USD (CLASS D) US$0.8746 - 01 Dec 2025
FULLERTON SHORT TERM INTEREST RATE FUND (CLASS C) S$1.5660 - 01 Dec 2025
FULLERTON SHORT TERM INTEREST RATE FUND - CLASS A (SGD) S$1.9496 - 01 Dec 2025
FULLERTON SHORT TERM INTEREST RATE FUND - CLASS B (SGD) S$1.7560 - 01 Dec 2025
FULLERTON SINGAPORE VALUE-UP FUND SGD ACC S$1.0264 - 01 Dec 2025
FULLERTON TOTAL RETURN MULTI-ASSET INCOME CLASS A (SGD) S$1.2354 - 01 Dec 2025
FULLERTON TOTAL RETURN MULTI-ASSET INCOME CLASS A1 (USD) US$1.0000 - 16 Jun 2021
FULLERTON TOTAL RETURN MULTI-ASSET INCOME CLASS B (SGD) S$1.0144 - 01 Dec 2025
FULLERTON TOTAL RETURN MULTI-ASSET INCOME CLASS B1 (USD) US$1.0392 - 01 Dec 2025
FULLERTON TOTAL RETURN MULTI-ASSET INCOME CLASS C (SGD) S$0.9116 - 01 Dec 2025
FULLERTON TOTAL RETURN MULTI-ASSET INCOME CLASS C1 (USD) US$0.9329 - 01 Dec 2025
FULLERTON USD CASH FUND CLASS A US$1.1685 - 01 Dec 2025
FULLERTON USD INCOME FUND (CLASS B) US$0.8243 - 01 Dec 2025
FULLERTON USD INCOME FUND - CLASS A (SGD-H) S$0.7785 - 01 Dec 2025
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GOLDMAN SACHS ASSET MANAGEMENT
Name of Funds Bid/NAV Price Offer Price Price as at
GS EMERGING MARKETS DEBT PORTFOLIO R SGD-H S$8.2100 - 01 Dec 2025
GS EMERGING MARKETS DEBT PORTFOLIO USD US$7.2100 - 01 Dec 2025
GS EMERGING MKTS CORPORATE BOND PORT BASE SHARES (MDIST) USD US$91.3000 - 01 Dec 2025
GS GLOBAL CORE EQUITY PORTFOLIO BASE ACC USD US$46.5100 - 01 Dec 2025
GS GLOBAL CORE EQUITY PORTFOLIO OCS ACC SGD S$20.6600 - 01 Dec 2025
GS GLOBAL CORE EQUITY PORTFOLIO OCS ACC SGD-H S$20.5800 - 01 Dec 2025
GS GLOBAL MILLENNIALS EQUITY PORTFOLIO BASE ACC USD US$33.7500 - 01 Dec 2025
GS INDIA EQUITY PORTFOLIO USD US$40.3900 - 01 Dec 2025
GS N AMERICAN SHALE REVOLUTION & ENERGY INFRA PORT ACC USD US$12.8600 - 01 Dec 2025
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HSBC GLOBAL ASSET MANAGEMENT (SINGAPORE) LIMITED
Name of Funds Bid/NAV Price Offer Price Price as at
HSBC GLOBAL INVESTMENT FUND ASIA HIGH YIELD BOND (AM3HAUD) AUD4.6480 - 01 Dec 2025
HSBC GLOBAL INVESTMENT FUND ASIA HIGH YIELD BOND (AM3HSGD) S$4.3410 - 01 Dec 2025
HSBC ISLAMIC GLOBAL EQUITY INDEX FUND AC (EUR) EUR14.9610 - 01 Dec 2025
HSBC ISLAMIC GLOBAL EQUITY INDEX FUND AC (SGD) S$15.5230 - 01 Dec 2025
HSBC ISLAMIC GLOBAL EQUITY INDEX FUND AC (USD) US$35.7570 - 01 Dec 2025
HSBC ISLAMIC GLOBAL EQUITY INDEX FUND AD (USD) US$33.1760 - 01 Dec 2025
HSBC ISLAMIC GLOBAL EQUITY INDEX FUND ICEUR EUR17.9270 - 01 Dec 2025
HSBC ISLAMIC GLOBAL EQUITY INDEX FUND ICGBP GBP20.1840 - 01 Dec 2025
HSBC ISLAMIC GLOBAL EQUITY INDEX FUND ICUSD US$35.7350 - 01 Dec 2025
HSBC ISLAMIC GLOBAL EQUITY INDEX FUND IDUSD US$37.8580 - 01 Dec 2025
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IFAST FINANCIAL PTE LTD
Name of Funds Bid/NAV Price Offer Price Price as at
IFAST - AMOVA CHINA EQUITY FUND (SGD) S$4.0348 - 01 Dec 2025
IFAST - DWS GLOBAL THEMES EQUITY FUND (SGD) S$2.2611 - 01 Dec 2025
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IFAST FINANCIAL PTE LTD (USD)
Name of Funds Bid/NAV Price Offer Price Price as at
IFAST - AMOVA CHINA EQUITY FUND (USD) US$3.1157 - 01 Dec 2025
IFAST - DWS GLOBAL THEMES EQUITY FUND (USD) US$1.7461 - 01 Dec 2025
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JANUS HENDERSON INVESTORS
Name of Funds Bid/NAV Price Offer Price Price as at
JANUS HENDERSON ASIA-PACIFIC PROPERTY EQUITIES SGD S$0.8780 - 30 Jun 2020
JANUS HENDERSON ASIAN GROWTH FUND SGD S$2.6289 - 31 Aug 2018
JANUS HENDERSON GLOBAL PROPERTY EQUITIES FUND SGD S$1.3835 - 07 Feb 2020
JANUS HENDERSON GLOBAL TECHNOLOGY FUND SGD S$7.2897 - 30 Jun 2021
JANUS HENDERSON HORIZON ASIA-PACIFIC PROPERTY INCOME FUND A2 ACC USD US$18.3700 - 01 Dec 2025
JANUS HENDERSON HORIZON ASIA-PACIFIC PROPERTY INCOME FUND A3 DIS USD US$11.6500 - 01 Dec 2025
JANUS HENDERSON HORIZON ASIA-PACIFIC PROPERTY INCOME FUND A3 SGD INC S$16.1800 - 01 Dec 2025
JANUS HENDERSON HORIZON ASIAN DIVIDEND INCOME A2 ACC SGD S$34.0500 - 01 Dec 2025
JANUS HENDERSON HORIZON ASIAN DIVIDEND INCOME A2 ACC USD US$26.2800 - 01 Dec 2025
JANUS HENDERSON HORIZON ASIAN DIVIDEND INCOME A3 DIS SGD S$10.3300 - 01 Dec 2025
JANUS HENDERSON HORIZON ASIAN DIVIDEND INCOME A3 DIS USD US$7.9900 - 01 Dec 2025
JANUS HENDERSON HORIZON GBL PROPERTY EQTS FUND A3 QDIS SGD S$21.8800 - 01 Dec 2025
JANUS HENDERSON HORIZON GLOBAL PROPERTY EQUITIES A2 ACC USD US$26.9000 - 01 Dec 2025
JANUS HENDERSON HORIZON GLOBAL PROPERTY EQUITIES A3 DIS USD US$18.3800 - 01 Dec 2025
JANUS HENDERSON HORIZON GLOBAL TECHNOLOGY LEADERS FUND A2 ACC USD US$274.5900 - 01 Dec 2025
JANUS HENDERSON HORIZON GLOBAL TECHNOLOGY LEADERS FUND A2 SGD S$257.1100 - 01 Dec 2025
JANUS HENDERSON HORIZON PAN EUROPEAN ABSOLUTE RETURN FUND A2 EUR EUR21.0900 - 01 Dec 2025
JANUS HENDERSON HORIZON PAN EUROPEAN ABSOLUTE RETURN FUND A2 SGD-H S$15.9000 - 01 Dec 2025
JANUS HENDERSON HORIZON PAN EUROPEAN ABSOLUTE RETURN FUND A2 USD-H US$22.0400 - 01 Dec 2025
JANUS HENDERSON HORIZON PAN EUROPEAN EQUITY FUND A2 SGD S$26.0800 - 07 Dec 2023
JANUS HENDERSON HORIZON PAN EUROPEAN PROPERTY EQUITY FUND A2 SGD S$53.3800 - 01 Dec 2025
JANUS HENDERSON PAN EUROPEAN EQUITY FUND SGD S$1.2223 - 07 Feb 2020
JANUS HENDERSON PAN EUROPEAN PROPERTY EQUITIES FUND SGD S$4.1247 - 07 Feb 2020
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JPMORGAN ASSET MANAGEMENT (S) LTD
Name of Funds Bid/NAV Price Offer Price Price as at
JPMORGAN FUNDS - GLOBAL BOND OPPORTUNITIES ESG A (SGD-H) MDIST S$8.7600 - 01 Dec 2025
JPMORGAN FUNDS - ASIA PACIFIC INCOME A (IRC) AUD-H AUD9.1800 - 01 Dec 2025
JPMORGAN FUNDS - ASIA PACIFIC INCOME FUND (GBP-H) MDIS GBP9.5300 - 01 Dec 2025
JPMORGAN FUNDS - ASIA PACIFIC INCOME FUND (SGD) MDIS S$13.2000 - 01 Dec 2025
JPMORGAN FUNDS - ASIA PACIFIC INCOME FUND (SGD-H) MDIS S$10.8200 - 01 Dec 2025
JPMORGAN FUNDS - ASIA PACIFIC INCOME FUND (USD) MDIS US$114.4300 - 01 Dec 2025
JPMORGAN FUNDS - ASIA PACIFIC INCOME FUND IRC (CAD-H) MDIS CAD9.4600 - 01 Dec 2025
JPMORGAN FUNDS - CHINA A SHARE OPPORTUNITIES FUND (SGD) ACC S$14.4700 - 01 Dec 2025
JPMORGAN FUNDS - CHINA A-SHARE OPPORTUNITIES FUND (USD) ACC US$28.7100 - 01 Dec 2025
JPMORGAN FUNDS - CHINA FUND A (ACC) (SGD) S$22.0300 - 01 Dec 2025
JPMORGAN FUNDS - CHINA FUND A (ACC) USD US$51.1100 - 01 Dec 2025
JPMORGAN FUNDS - CHINA FUND A (DIS) USD US$77.8300 - 01 Dec 2025
JPMORGAN FUNDS - EMERGING MARKETS CORPORATE BOND FUND A(MTH) - USD US$71.5000 - 01 Dec 2025
JPMORGAN FUNDS - EMERGING MARKETS DIVIDEND A (MTH) (USD) US$96.3100 - 01 Dec 2025
JPMORGAN FUNDS - EMERGING MARKETS DIVIDEND FUND (SGD) S$8.6700 - 01 Dec 2025
JPMORGAN FUNDS - EUROPE SMALL CAP FUND A ACC (USD) US$288.0800 - 01 Dec 2025
JPMORGAN FUNDS - GLOBAL BOND OPPORTUNITIES ESG A (USD) MDIST US$93.0100 - 01 Dec 2025
JPMORGAN FUNDS - GLOBAL BOND OPPORTUNITIES FUND A (ACC) USD US$155.1800 - 01 Dec 2025
JPMORGAN FUNDS - GLOBAL BOND OPPORTUNITIES FUND C (DIST) USD US$106.2300 - 01 Dec 2025
JPMORGAN FUNDS - GLOBAL BOND OPPORTUNITIES FUND C (MTH) USD US$94.2100 - 01 Dec 2025
JPMORGAN FUNDS - GLOBAL CORPORATE BOND FUND A (MTH) (SGD) S$11.6500 - 01 Dec 2025
JPMORGAN FUNDS - GREATER CHINA FUND A (ACC) SGD S$36.5500 - 01 Dec 2025
JPMORGAN FUNDS - GREATER CHINA FUND C (USD) ACC US$68.3000 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND A (AUD-H) MDIS AUD7.9800 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND A (EUR-H) MDIS EUR80.9800 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND A (GBP-H) MDIS GBP79.9800 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND A (SGD) MDIS S$7.7000 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND A (SGD-H) ACC S$10.9500 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND A (SGD-H) MDIS S$8.1200 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND A (USD) ACC US$144.3500 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND A (USD) MDIS US$7.7500 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND A (USD) QDIS US$75.0100 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND A ACC (GBP-H) GBP110.9900 - 01 Dec 2025
JPMORGAN FUNDS - INCOME FUND C (MTH) USD US$84.8500 - 01 Dec 2025
JPMORGAN FUNDS - US AGGREGATE BOND FUND (SGD) S$10.2500 - 01 Dec 2025
JPMORGAN FUNDS - US AGGREGATE BOND FUND (SGD-H) S$9.4500 - 01 Dec 2025
JPMORGAN FUNDS - US AGGREGATE BOND FUND (USD) US$8.4600 - 01 Dec 2025
JPMORGAN FUNDS - US SMALL CAP GROWTH A ACC (USD) US$47.0600 - 01 Dec 2025
JPMORGAN FUNDS - US SMALL CAP GROWTH A DIS (GBP) GBP36.6900 - 01 Dec 2025
JPMORGAN FUNDS - US VALUE A (DIST) USD US$51.0000 - 01 Dec 2025
JPMORGAN FUNDS - US VALUE FUND A (ACC) (SGD) S$24.4300 - 01 Dec 2025
JPMORGAN FUNDS - US VALUE FUND A (ACC) (USD) US$43.0200 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL DIVIDEND FUND A USD US$202.8600 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A (ACC) USD-H US$256.2200 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A (DIV) (SGD) S$12.0000 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A (EUR) MDIS EUR80.4100 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A (EUR) QDIS EUR118.9600 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A (ICDIV) SGD-H S$7.0200 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A (ICDIV) USD-H US$74.8000 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A (QDIV) - SGD (HEDGED) S$14.5400 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A (SGD-H) MDIS S$14.1700 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A (USD-H) MDIS US$126.0200 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A (USD-H) QDIS US$134.6800 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A IRC (AUD-H) MDIS AUD9.1100 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A IRC (SGD-H) MDIS S$8.2000 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME A IRC (USD-H) MDIS US$8.3700 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL INCOME C (MTH) - USD (HEDGED) US$138.5300 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL MACRO OPPORTUNITIES A (AUD-H) AUD12.3300 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL MACRO OPPORTUNITIES A (EUR) EUR190.5400 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL MACRO OPPORTUNITIES A (SGD-H) S$11.8400 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL MACRO OPPORTUNITIES A (USD-H) US$157.8400 - 01 Dec 2025
JPMORGAN INV FUNDS - GLOBAL SELECT EQUITY FUND SGD S$21.3100 - 01 Dec 2025
JPMORGAN INV FUNDS - JPM GLOBAL DIVIDEND A (MTH) SGD S$18.3000 - 01 Dec 2025
JPMORGAN MULTI INCOME (SGD-H) MDIS S$9.3300 - 01 Dec 2025
JPMORGAN PACIFIC TECHNOLOGY (ACC) - USD US$119.4200 - 01 Dec 2025
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LEGG MASON ASSET MANAGEMENT (S) PTE LTD
Name of Funds Bid/NAV Price Offer Price Price as at
FTGF BRANDYWINE GLOBAL INCOME OPTIMISER FUND A USD PLUS (E) MDIST US$77.6800 - 01 Dec 2025
FTGF BRANDYWINE GLOBAL INCOME OPTIMISER FUND PR USD DIS (M) PLUS (E) US$85.1600 - 01 Dec 2025
FTGF CLEARBRIDGE US VALUE FUND A SGD ACC S$1.7800 - 01 Dec 2025
FTGF CLEARBRIDGE US VALUE FUND A SGD ACC H S$3.3160 - 01 Dec 2025
FTGF ROYCE US SMALL CAP OPPORTUNITY FUND CLASS A (SGD) ACC S$3.3730 - 01 Dec 2025
FTGF ROYCE US SMALL CAP OPPORTUNITY FUND CLASS A (SGD-H) ACC S$3.1870 - 01 Dec 2025
FTGF ROYCE US SMALL CAP OPPORTUNITY FUND CLASS A (USD) ACC US$357.2600 - 01 Dec 2025
FTGF ROYCE US SMALL CAP OPPORTUNITY FUND CLASS A AUDH ACC AUD256.1300 - 01 Dec 2025
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LIONGLOBAL INVESTORS LIMITED
Name of Funds Bid/NAV Price Offer Price Price as at
INFINITY GLOBAL STOCK INDEX FUND (SGD) S$3.1310 - 01 Dec 2025
INFINITY U.S. 500 STOCK INDEX FUND (SGD) S$4.0240 - 01 Dec 2025
LION-BANK OF SINGAPORE ASIAN INCOME FUND (USD) QDIST US$1.0220 - 01 Dec 2025
LION-BANK OF SINGAPORE EMERGING MARKET BOND FUND (USD) QDIST US$0.7830 - 01 Dec 2025
LION-BIBDS ISLAMIC ENHANCED LIQUIDITY FUND SGD-H CLASS A (ACCUMULATION) S$1.0280 - 01 Dec 2025
LION-BIBDS ISLAMIC ENHANCED LIQUIDITY FUND SGD-H CLASS A (DISTRIBUTION) S$1.0023 - 01 Dec 2025
LION-BIBDS ISLAMIC ENHANCED LIQUIDITY FUND USD CLASS A (ACCUMULATION) US$1.0716 - 01 Dec 2025
LION-BIBDS ISLAMIC ENHANCED LIQUIDITY FUND USD CLASS A (DISTRIBUTION) US$1.0233 - 01 Dec 2025
LION-BOS ASIA PAC REAL ESTATE OPPORTUNITIES (SGD) S$0.6269 - 02 May 2025
LION-BOS ASIAN INCOME FUND A (SGD-H) ACC S$1.3800 - 01 Dec 2025
LIONGLOBAL CHINA GROWTH FUND (SGD) S$3.0790 - 01 Dec 2025
LIONGLOBAL CHINA GROWTH FUND (USD) US$2.3770 - 01 Dec 2025
LIONGLOBAL INDIA FUND A (SGD) S$2.5030 - 01 Dec 2025
LIONGLOBAL JAPAN GROWTH FUND A (SGD) S$1.7050 - 01 Dec 2025
LIONGLOBAL JAPAN GROWTH FUND A (SGD-H) S$4.0640 - 01 Dec 2025
LIONGLOBAL JAPAN GROWTH FUND A (USD) ACC US$1.3170 - 01 Dec 2025
LIONGLOBAL JAPAN GROWTH FUND A (USD-H) ACC US$4.0960 - 01 Dec 2025
LIONGLOBAL KOREA FUND (SGD) S$1.7920 - 01 Dec 2025
LIONGLOBAL MALAYSIA FUND (SGD) S$2.3260 - 01 Dec 2025
LIONGLOBAL NEW WEALTH SERIES - SINGAPORE DIVIDEND EQUITY SGD DIS S$1.3510 - 01 Dec 2025
LIONGLOBAL SGD ENHANCED LIQUIDITY FUND (SGD) S$1.1544 - 01 Dec 2025
LIONGLOBAL SGD INCOME PLUS FUND (SGD) S$0.8432 - 19 Jan 2017
LIONGLOBAL SGD MONEY MARKET FUND SGD CLASS A S$1.4861 - 01 Dec 2025
LIONGLOBAL SHORT DURATION BOND FUND (SGD) ACC S$1.2620 - 01 Dec 2025
LIONGLOBAL SHORT DURATION BOND FUND (SGD) QDIST S$1.5374 - 01 Dec 2025
LIONGLOBAL SHORT DURATION BOND FUND (USD-H) QDIST US$0.9897 - 01 Dec 2025
LIONGLOBAL SOUTH EAST ASIA FUND (SGD) S$1.6270 - 01 Dec 2025
LIONGLOBAL TAIWAN FUND (SGD) S$1.8540 - 01 Dec 2025
LIONGLOBAL THAILAND FUND (SGD) S$2.8600 - 01 Dec 2025
LIONGLOBAL THAILAND FUND (USD) US$2.2080 - 01 Dec 2025
LIONGLOBAL VIETNAM FUND A (SGD) S$1.0670 - 01 Dec 2025
LIONGLOBAL VIETNAM FUND A (USD) US$0.8240 - 01 Dec 2025
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MAYBANK ASSET MANAGEMENT
Name of Funds Bid/NAV Price Offer Price Price as at
MAYBANK ALL-WEATHER QUANTITATIVE FUND - CLASS A (ACC) -SGD S$1.2223 - 01 Dec 2025
MAYBANK ALL-WEATHER QUANTITATIVE FUND - CLASS I (SGD) S$1.1841 - 01 Dec 2025
MAYBANK ALL-WEATHER QUANTITATIVE FUND - CLASS I (USD) US$1.6339 - 01 Dec 2025
MAYBANK BLUEWATERZ TOTAL RETURN BOND FUND (SGD) S$88.9600 - 01 Dec 2025
MAYBANK BLUEWATERZ TOTAL RETURN BOND FUND CLASS B (USD) US$125.1300 - 01 Dec 2025
MAYBANK FOCUS - MAMG GLOBAL SUKUK INCOME-I FUND CLASS A SGD DIS S$0.8383 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN EQUITY FUND CLASS A ACC (SGD) S$1.7236 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN EQUITY FUND CLASS A ACC (USD) US$1.6164 - 20 Nov 2025
MAYBANK FOCUS - MAYBANK ASIAN EQUITY FUND CLASS A DIS (SGD) S$0.9114 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME FUND CLASS A (ACC) (AUD) AUD0.9814 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME FUND CLASS A (ACC) (NZD) NZD1.0301 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME FUND CLASS A (ACC) (SGD) S$1.1547 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME FUND CLASS A (ACC) USD US$1.0515 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME FUND CLASS A (DIST) (AUD) AUD0.7334 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME FUND CLASS A (DIST) (NZD) NZD0.7694 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME FUND CLASS A (DIST) (SGD) S$0.7942 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME FUND CLASS A (DIST) SGD (DECUMULATION) S$0.6270 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME FUND CLASS A (DIST) USD (DECUMULATION) US$0.6817 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME-I FUND CLASS A (SGD) ACC S$0.9760 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN GROWTH AND INCOME-I FUND CLASS A (SGD) DIST S$0.7623 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN INCOME FUND CLASS A ACC (AUD) AUD1.0000 - 22 Feb 2021
MAYBANK FOCUS - MAYBANK ASIAN INCOME FUND CLASS A ACC (NZD) NZD1.0000 - 22 Feb 2021
MAYBANK FOCUS - MAYBANK ASIAN INCOME FUND CLASS A ACC (SGD) S$1.3378 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN INCOME FUND CLASS A ACC (USD) US$1.4389 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN INCOME FUND CLASS A DIS (AUD) AUD0.8053 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN INCOME FUND CLASS A DIS (NZD) NZD0.9020 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN INCOME FUND CLASS A DIS (SGD) S$0.7870 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK ASIAN INCOME FUND CLASS A DIS (USD) US$0.8970 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK MONEY MARKET FUND CLASS A ACC(SGD) S$1.1080 - 01 Dec 2025
MAYBANK FOCUS - MAYBANK MONEY MARKET FUND CLASS A ACC(USD) US$1.1760 - 02 Dec 2025
MAYBANK GLOBAL SHARIAH MULTI ASSETS I FUND - CLASS A (ACC) JPY JPY100.0000 - 03 Feb 2025
MAYBANK GLOBAL SHARIAH MULTI ASSETS I FUND - CLASS A (ACC) SGD S$1.0104 - 01 Dec 2025
MAYBANK GLOBAL SHARIAH MULTI ASSETS I FUND - CLASS A (ACC) USD US$1.0000 - 03 Feb 2025
MAYBANK GLOBAL SHARIAH MULTI ASSETS I FUND - CLASS A (DIST) JPY JPY100.0000 - 03 Feb 2025
MAYBANK GLOBAL SHARIAH MULTI ASSETS I FUND - CLASS A (DIST) SGD S$0.9922 - 01 Dec 2025
MAYBANK GLOBAL SHARIAH MULTI ASSETS I FUND - CLASS A (DIST) USD US$1.0000 - 03 Feb 2025
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MAYBANK ASSET MANAGEMENT SDN BHD
Name of Funds Bid/NAV Price Offer Price Price as at
MAYBANK INCOME MANAGEMENT-I FUND MYR1.0481 - 28 Nov 2025
MAYBANK MALAYSIA SUKUK FUND MYR1.1119 - 28 Nov 2025
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Mandiri Investment Management Pte. Ltd.
Name of Funds Bid/NAV Price Offer Price Price as at
INVESTA UNIT TRUST - INVESTA MONEY MARKET FUND IDR1,522.5900 - 01 Dec 2025
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Manulife Investment Management (Singapore) Pte. Ltd.
Name of Funds Bid/NAV Price Offer Price Price as at
MANULIFE EMPOWER CONSERVATIVE FUND A MDIS SGD HEDGED S$1.0380 - 01 Dec 2025
MANULIFE EMPOWER CONSERVATIVE FUND A MDIS USD US$1.0550 - 01 Dec 2025
MANULIFE EMPOWER GROWTH FUND A MDIS SGD HEDGED S$1.0850 - 01 Dec 2025
MANULIFE EMPOWER GROWTH FUND A MDIS USD US$1.1030 - 01 Dec 2025
MANULIFE EMPOWER INCOME FUND A MDIS SGD HEDGED S$1.0220 - 01 Dec 2025
MANULIFE EMPOWER INCOME FUND A MDIS USD US$1.0420 - 01 Dec 2025
MANULIFE EMPOWER MODERATE FUND A MDIS SGD HEDGED S$1.0620 - 01 Dec 2025
MANULIFE EMPOWER MODERATE FUND A MDIS USD US$1.0950 - 01 Dec 2025
MANULIFE SGD INCOME A MDIST (SGD) S$0.7820 - 01 Dec 2025
MANULIFE SGD INCOME C MDIS (SGD) S$0.7940 - 01 Dec 2025
MANULIFE SGD INCOME CLASS C-MDIS USD-H US$0.8710 - 01 Dec 2025
MANULIFE SGD INCOME FUND (SGD) S$1.1490 - 01 Dec 2025
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NATIXIS GLOBAL ASSET MANAGEMENT
Name of Funds Bid/NAV Price Offer Price Price as at
NATIXIS IF - LOOMIS SAYLES MULTISECTOR INCOME H-R/D (SGD H) S$8.0100 - 01 Dec 2025
NATIXIS IF - LOOMIS SAYLES MULTISECTOR INCOME R/D SGD S$8.5800 - 01 Dec 2025
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NEUBERGER BERMAN
Name of Funds Bid/NAV Price Offer Price Price as at
NEUBERGER BERMAN 5G CONNECTIVITY FUND A ACC CLASS GBP-H GBP20.8900 - 01 Dec 2025
NEUBERGER BERMAN 5G CONNECTIVITY FUND EUR A ACC EUR21.6800 - 01 Dec 2025
NEUBERGER BERMAN 5G CONNECTIVITY FUND USD A ACC US$23.0600 - 01 Dec 2025
NEUBERGER BERMAN EMERGING MARKET DEBT - HARD CURRENCY FUND SGD A MDIST S$15.0500 - 01 Dec 2025
NEUBERGER BERMAN HIGH YIELD BOND FUND AUD A MDIST AUD6.2100 - 01 Dec 2025
NEUBERGER BERMAN HIGH YIELD BOND FUND EUR A MDIS EUR5.6900 - 01 Dec 2025
NEUBERGER BERMAN HIGH YIELD BOND FUND SGD A MDIS HEDGED S$12.9700 - 01 Dec 2025
NEUBERGER BERMAN HIGH YIELD BOND FUND USD A QDIS CLASS US$8.8600 - 01 Dec 2025
NEUBERGER BERMAN SHORT DURATION EMERGING MKT DEBT USD A MDIS US$8.3600 - 01 Dec 2025
NEUBERGER BERMAN STRATEGIC INCOME FUND AUD A MDIS AUD7.9000 - 01 Dec 2025
NEUBERGER BERMAN STRATEGIC INCOME FUND EUR A ACC EUR11.7100 - 30 Nov 2021
NEUBERGER BERMAN STRATEGIC INCOME FUND EUR A MDIS EUR7.1900 - 01 Dec 2025
NEUBERGER BERMAN STRATEGIC INCOME FUND GBP A MDIS GBP7.9300 - 01 Dec 2025
NEUBERGER BERMAN STRATEGIC INCOME FUND HKD A MDIS HKD8.1500 - 01 Dec 2025
NEUBERGER BERMAN STRATEGIC INCOME FUND SGD A ACC S$23.7200 - 01 Dec 2025
NEUBERGER BERMAN STRATEGIC INCOME FUND SGD A MDIS S$15.2400 - 01 Dec 2025
NEUBERGER BERMAN STRATEGIC INCOME FUND USD A ACC US$13.9500 - 01 Dec 2025
NEUBERGER BERMAN STRATEGIC INCOME FUND USD A MDIS US$8.1900 - 01 Dec 2025
NEUBERGER BERMAN STRATEGIC INCOME FUND USD I DISTRIBUTING CLASS US$10.4200 - 01 Dec 2025
NEUBERGER BERMAN UNCORRELATED STRATEGIES FUND EUR A ACC CLASS HEDGED EUR8.6800 - 01 Dec 2025
NEUBERGER BERMAN UNCORRELATED STRATEGIES FUND USD A ACC CLASS US$10.0200 - 01 Dec 2025
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PIMCO ASIA PTE LTD
Name of Funds Bid/NAV Price Offer Price Price as at
PIMCO GIS ASIA HIGH YIELD BOND FUND (SGD) S$6.5600 - 01 Dec 2025
PIMCO GIS ASIA HIGH YIELD BOND FUND - E INCOME USD US$6.9800 - 01 Dec 2025
PIMCO GIS ASIA STRATEGIC INTEREST BOND FUND (SGD-H) MDIST S$8.0000 - 01 Dec 2025
PIMCO GIS BALANCED INCOME AND GROWTH FUND ADMIN SGDH INCOME II S$10.6200 - 01 Dec 2025
PIMCO GIS CAPITAL SECURITIES FUND E USD ACC US$17.6500 - 01 Dec 2025
PIMCO GIS CAPITAL SECURITIES FUND INVST (SGD-H) QDIST S$10.0400 - 01 Dec 2025
PIMCO GIS CAPITAL SECURITIES FUND MRETL INCOME II (SGD-H) MDIST S$8.9000 - 01 Dec 2025
PIMCO GIS DIVERSIFIED INCOME FUND M RETAIL II (USD) MDIST US$8.1100 - 01 Dec 2025
PIMCO GIS DIVERSIFIED INCOME FUND SGD S$8.5400 - 01 Dec 2025
PIMCO GIS DIVERSIFIED INCOME FUND USD US$12.4600 - 01 Dec 2025
PIMCO GIS GLOBAL HIGH YIELD BOND FUND - INSTI USD ACC US$33.8300 - 01 Dec 2025
PIMCO GIS GLOBAL HIGH YIELD BOND FUND - INSTI USD INCOME US$10.9300 - 01 Dec 2025
PIMCO GIS GLOBAL HIGH YIELD BOND FUND CLASS M INCOME USD US$10.5200 - 01 Dec 2025
PIMCO GIS GLOBAL INVESTMENT GRADE CREDIT E CL INC USD US$12.8000 - 01 Dec 2025
PIMCO GIS GLOBAL INVESTMENT GRADE CREDIT FUND ADMIN INC USD US$12.1400 - 01 Dec 2025
PIMCO GIS GLOBAL INVESTMENT GRADE CREDIT FUND E CL ACC USD US$19.5800 - 01 Dec 2025
PIMCO GIS GLOBAL INVESTMENT GRADE CREDIT FUND INST ACC USD US$22.7900 - 01 Dec 2025
PIMCO GIS GLOBAL INVESTMENT GRADE CREDIT FUND INVST (SGD-H) QDIST S$8.8900 - 01 Dec 2025
PIMCO GIS GLOBAL INVESTMENT GRADE CREDIT FUND M RETAIL INC USD US$9.6300 - 01 Dec 2025
PIMCO GIS INCOME FUND (CNH-H) MDIST CNH102.3000 - 01 Dec 2025
PIMCO GIS INCOME FUND ADMIN (AUD-H) MDIST AUD8.8600 - 01 Dec 2025
PIMCO GIS INCOME FUND ADMIN (USD) ACC US$14.1200 - 01 Dec 2025
PIMCO GIS INCOME FUND ADMIN (USD) MDIST US$10.3000 - 01 Dec 2025
PIMCO GIS INCOME FUND ADMIN SGD-H MDIST S$9.5600 - 01 Dec 2025
PIMCO GIS INCOME FUND E (AUD-H) MDIST AUD8.2100 - 01 Dec 2025
PIMCO GIS INCOME FUND E (CHF-H) INC CHF6.3800 - 01 Dec 2025
PIMCO GIS INCOME FUND E (EUR-H) ACC EUR14.3700 - 01 Dec 2025
PIMCO GIS INCOME FUND E (EUR-H) MDIST EUR7.6300 - 01 Dec 2025
PIMCO GIS INCOME FUND E (GBP-H) MDIST GBP8.0300 - 01 Dec 2025
PIMCO GIS INCOME FUND E (HKD) MDIST HKD9.0900 - 01 Dec 2025
PIMCO GIS INCOME FUND E (JPY-H) ACC JPY1,010.0000 - 01 Dec 2025
PIMCO GIS INCOME FUND E (JPY-H) MDIST JPY861.0000 - 01 Dec 2025
PIMCO GIS INCOME FUND E (SGD-H) MDIST S$8.3500 - 01 Dec 2025
PIMCO GIS INCOME FUND E (USD) ACC US$17.7100 - 01 Dec 2025
PIMCO GIS INCOME FUND E (USD) MDIST US$9.6900 - 01 Dec 2025
PIMCO GIS INCOME FUND II (USD) US$11.1200 - 01 Dec 2025
PIMCO GIS INCOME FUND INST SGD-H S$9.4300 - 01 Dec 2025
PIMCO GIS INCOME FUND INSTITUTIONAL (EUR-H) MDIST EUR8.7500 - 01 Dec 2025
PIMCO GIS INCOME FUND INVESTOR (USD) MDIST US$9.6900 - 01 Dec 2025
PIMCO GIS INCOME FUND INVST (SGD-H) MDIST S$8.7200 - 01 Dec 2025
PIMCO GIS INFLATION MULTI ASSET FUND ADMIN (USD) QDIST US$9.8800 - 01 Dec 2025
PIMCO GIS INFLATION MULTI ASSET FUND E (EUR) ACC EUR10.8200 - 01 Dec 2025
PIMCO GIS INFLATION MULTI ASSET FUND E (EUR) QDIST EUR9.5100 - 01 Dec 2025
PIMCO GIS INFLATION MULTI ASSET FUND E (USD) ACC US$12.3200 - 01 Dec 2025
PIMCO GIS INFLATION MULTI-ASSET FUND SGD S$9.6900 - 01 Dec 2025
PIMCO GIS LOW DURATION INCOME FUND E (EUR-H) ACC EUR11.0500 - 01 Dec 2025
PIMCO GIS LOW DURATION INCOME FUND E (EUR-H) MDIST EUR8.3400 - 01 Dec 2025
PIMCO GIS LOW DURATION INCOME FUND E (SGD-H) MDIST S$9.1800 - 15 Dec 2022
PIMCO GIS LOW DURATION INCOME FUND E (USD) ACC US$12.8400 - 01 Dec 2025
PIMCO GIS LOW DURATION INCOME FUND E (USD) MDIST US$9.7300 - 01 Dec 2025
PIMCO GIS MORTGAGE OPPORTUNITIES FUND (USD) MDIST US$9.3400 - 01 Dec 2025
PIMCO GIS STRATEGIC INCOME FUND E (USD) ACC US$17.3700 - 01 Dec 2025
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PINEBRIDGE INVESTMENTS SINGAPORE LIMITED
Name of Funds Bid/NAV Price Offer Price Price as at
PINEBRIDGE INVESTMENTS - ACORNS OF ASIA BALANCED FUND (SGD) S$4.1970 - 01 Dec 2025
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SCHRODER INVESTMENT MANAGEMENT (S) LTD
Name of Funds Bid/NAV Price Offer Price Price as at
SCHRODER ALTERNATIVE SOLUTIONS COMMODITY FUND A ACC (USD) US$98.7800 - 01 Dec 2025
SCHRODER ALTERNATIVE SOLUTIONS COMMODITY FUND HEDGED (SGD) S$6.0700 - 01 Dec 2025
SCHRODER ALTERNATIVE SOLUTIONS COMMODITY HEDGED A ACC (EUR) EUR71.1000 - 01 Dec 2025
SCHRODER AS GOLD AND PRECIOUS METALS FUND (SGD-H) S$8.3800 - 29 Jun 2016
SCHRODER AS GOLD AND PRECIOUS METALS FUND A ACC (USD) US$7.8200 - 29 Jun 2016
SCHRODER ASIAN ASSET INCOME FUND USD A DIS US$8.7140 - 28 Nov 2025
SCHRODER ASIAN CREDIT OPPORTUNITIES FUND A DIS (SGD-H) S$0.5490 - 20 Aug 2018
SCHRODER ASIAN EQUITY YIELD FUND CLASS A (SGD) S$1.3130 - 01 Dec 2025
SCHRODER ASIAN GROWTH FUND (SGD) S$3.7360 - 01 Dec 2025
SCHRODER ASIAN GROWTH FUND (USD) US$4.0060 - 01 Dec 2025
SCHRODER ASIAN INCOME CLASS (AUD-H) A DIS AUD0.8160 - 01 Dec 2025
SCHRODER ASIAN INCOME CLASS (SGD) A DIS S$0.8850 - 01 Dec 2025
SCHRODER ASIAN INCOME CLASS (USD-H) A DIS US$0.7670 - 01 Dec 2025
SCHRODER ASIAN INVESTMENT GRADE CREDIT SGD A DIS S$0.7300 - 01 Dec 2025
SCHRODER BIC FUND (SGD) S$1.6980 - 01 Dec 2025
SCHRODER EMERGING EUROPE FUND (SGD) S$1.1290 - 12 May 2017
SCHRODER EMERGING MARKETS FUND (SGD) S$2.5210 - 01 Dec 2025
SCHRODER EUROPEAN EQUITY ALPHA FUND (SGD) S$1.2150 - 18 Jan 2019
SCHRODER GAIA PAULSON MERGER ARBITRAGE A ACC (USD) US$47.3800 - 29 Mar 2018
SCHRODER GLOBAL EQUITY STABILISER (SGD) A ACC S$1.0420 - 22 Sep 2017
SCHRODER GLOBAL EQUITY STABILISER (SGD) A DIS S$0.9280 - 22 Sep 2017
SCHRODER ISF ASIAN BOND TOTAL RETURN A ACC (USD) US$16.6932 - 01 Dec 2025
SCHRODER ISF ASIAN BOND TOTAL RETURN A DIS (USD) MV US$4.9279 - 01 Dec 2025
SCHRODER ISF ASIAN CREDIT OPPORTUNITIES (SGD-H) A DIS S$100.8395 - 01 Dec 2025
SCHRODER ISF ASIAN DIV MAXIMISER (AUD) A DIS MF AUD111.1560 - 01 Dec 2025
SCHRODER ISF ASIAN DIV MAXIMISER (AUD-H) A DIS MFC AUD76.0065 - 01 Dec 2025
SCHRODER ISF ASIAN DIV MAXIMISER (EUR) A DIS EUR89.4070 - 01 Dec 2025
SCHRODER ISF ASIAN DIV MAXIMISER (EUR-H) A DIS EUR61.7068 - 01 Dec 2025
SCHRODER ISF ASIAN DIV MAXIMISER (SGD) A DIS S$80.1287 - 01 Dec 2025
SCHRODER ISF ASIAN DIV MAXIMISER (SGD-H) A DIS S$72.2945 - 01 Dec 2025
SCHRODER ISF ASIAN DIV MAXIMISER (USD) A DIS MF US$77.9931 - 01 Dec 2025
SCHRODER ISF ASIAN EQUITY YIELD A ACC (USD) US$49.8652 - 01 Dec 2025
SCHRODER ISF ASIAN EQUITY YIELD A DIS (USD) MF US$24.2756 - 01 Dec 2025
SCHRODER ISF CHINA A A ACC (USD) US$149.6433 - 01 Dec 2025
SCHRODER ISF EMERGING EUROPE A ACC (EUR) EUR24.8137 - 28 Apr 2025
SCHRODER ISF EMERGING EUROPE Y9 ACC (EUR) EUR0.0100 - 18 Jul 2022
SCHRODER ISF EMERGING MARKETS A ACC (USD) US$22.9934 - 01 Dec 2025
SCHRODER ISF EMERGING MARKETS DEBT ABS RETURN A ACC (USD) US$30.6548 - 01 Dec 2025
SCHRODER ISF EMERGING MARKETS DEBT ABS RETURN A DIS (USD) QF US$7.7571 - 01 Dec 2025
SCHRODER ISF EMERGING MARKETS DEBT ABS RTN (SGD-H) A DIS S$4.9702 - 01 Dec 2025
SCHRODER ISF EMERGING MKTS DEBT ABS RETURN (EUR-H) A ACC EUR26.3149 - 01 Dec 2025
SCHRODER ISF EMERGING MULTI-ASSET INCOME (AUD-H) A DIS MFC AUD83.6901 - 01 Dec 2025
SCHRODER ISF EMERGING MULTI-ASSET INCOME (EUR-H) A DIS EUR61.3138 - 01 Dec 2025
SCHRODER ISF EMERGING MULTI-ASSET INCOME (SGD-H) A DIS S$79.9701 - 01 Dec 2025
SCHRODER ISF EMERGING MULTI-ASSET INCOME USD A ACC US$142.6373 - 01 Dec 2025
SCHRODER ISF EMERGING MULTI-ASSET INCOME USD A DIS MF US$88.6045 - 01 Dec 2025
SCHRODER ISF EUROPEAN DIV MAXIMISER (EUR) A DIS EUR31.0954 - 01 Dec 2025
SCHRODER ISF EUROPEAN DIV MAXIMISER (SGDH) A DIS S$83.9449 - 01 Dec 2025
SCHRODER ISF EUROPEAN DIV MAXIMISER (USDH) A DIS MF US$62.2395 - 01 Dec 2025
SCHRODER ISF EUROPEAN SMALLER COMPANIES A ACC EUR EUR42.2528 - 01 Dec 2025
SCHRODER ISF EUROPEAN VALUE A ACC (EUR) EUR106.0507 - 01 Dec 2025
SCHRODER ISF EUROPEAN VALUE A ACC (SGD-H) S$175.9224 - 01 Dec 2025
SCHRODER ISF FRONTIER MARKETS EQUITY SGD A ACC S$152.5409 - 01 Dec 2025
SCHRODER ISF GLB DIV MAXIMISER (EUR-H) A DIS EUR6.9024 - 01 Dec 2025
SCHRODER ISF GLB DIV MAXIMISER (SGD) A ACC S$15.8807 - 01 Dec 2025
SCHRODER ISF GLB DIV MAXIMISER (SGD) A DIS S$4.1174 - 01 Dec 2025
SCHRODER ISF GLB DIV MAXIMISER (USD) A DIS QF US$4.3971 - 01 Dec 2025
SCHRODER ISF GLOBAL ALTERNATIVE ENERGY A ACC USD US$165.2181 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT HIGH INCOME A DIS (USD) US$70.6227 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A ACC AUD-H AUD170.8161 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A ACC EUR-H EUR116.6701 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A ACC GBP-H GBP120.9034 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A ACC SGD-H S$166.9962 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A ACC USD US$142.4962 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A DIS AUD-H AUD120.7415 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A DIS CNH-H CNH610.1915 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A DIS EUR-H EUR84.2319 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A DIS GBP-H GBP87.0310 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A DIS HKD HKD704.5337 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A DIS SGD-H S$117.4605 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME A DIS USD US$87.5845 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME C DIS EUR-H EUR89.2405 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME C DIS SGD-H S$123.1267 - 01 Dec 2025
SCHRODER ISF GLOBAL CREDIT INCOME C DIS USD US$92.8527 - 01 Dec 2025
SCHRODER ISF GLOBAL DIV MAXIMISER (AUD-H) A DIS AUD6.9086 - 01 Dec 2025
SCHRODER ISF GLOBAL EMERGING MARKET OPPORTUNITIES (SGD)A ACC S$22.6057 - 01 Dec 2025
SCHRODER ISF GLOBAL EMERGING MARKET OPPORTUNITIES FUND (USD) US$26.5036 - 01 Dec 2025
SCHRODER ISF GLOBAL GOLD SGD HEDGED A - ACC S$457.4707 - 01 Dec 2025
SCHRODER ISF GLOBAL HIGH YIELD (SGD-H) A MDIST S$37.4356 - 01 Dec 2025
SCHRODER ISF GLOBAL MULTI ASSET INCOME A DIS (USD) MF US$79.8515 - 01 Dec 2025
SCHRODER ISF GLOBAL MULTI-ASSET INCOME A DIS AUD-H AUD72.6937 - 01 Dec 2025
SCHRODER ISF GLOBAL MULTI-ASSET INCOME GBP H A DIS GBP77.5809 - 01 Dec 2025
SCHRODER ISF GLOBAL MULTI-ASSET INCOME SGD H A DIS S$85.5487 - 01 Dec 2025
SCHRODER ISF GLOBAL TARGET RETURN A ACC USD US$160.6505 - 01 Dec 2025
SCHRODER ISF JAPANESE EQUITY USD A ACC US$12.6026 - 01 Dec 2025
SCHRODER ISF MIDDLE EAST (SGD) A ACC S$13.4553 - 21 Feb 2022
SCHRODER ISF MIDDLE EAST A ACC (EUR) EUR19.4425 - 21 Feb 2022
SCHRODER ISF MIDDLE EAST A ACC (USD) US$16.2281 - 21 Feb 2022
SCHRODER ISF STRATEGIC BOND A DIS (USD) US$85.3385 - 01 Dec 2025
SCHRODER MULTI-ASSET REVOLUTION CLASS A (SGD) S$1.6620 - 01 Dec 2025
SCHRODER SINGAPORE TRUST CLASS A (SGD) S$2.0850 - 01 Dec 2025
SCHRODERS GLOBAL EMERGING MARKET OPPORTUNITIES FUND (SGD) S$1.6320 - 01 Dec 2025
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TEMPLETON ASSET MANAGEMENT LTD
Name of Funds Bid/NAV Price Offer Price Price as at
FTIF - FRANKLIN BIOTECHNOLOGY DISCOVERY FUND A(ACC) (SGD) S$55.3000 - 01 Dec 2025
FTIF - FRANKLIN BIOTECHNOLOGY DISCOVERY FUND A(ACC) (USD) US$58.5800 - 01 Dec 2025
FTIF - FRANKLIN GOLD AND PRECIOUS METALS FUND A (ACC) USD US$17.5000 - 01 Dec 2025
FTIF - FRANKLIN HIGH YIELD FUND A(MDIS) (SGD-H1) S$6.1000 - 01 Dec 2025
FTIF - FRANKLIN HIGH YIELD FUND A(MDIS) (USD) US$5.2700 - 01 Dec 2025
FTIF - FRANKLIN INCOME FUND A (MDIS) (EUR-H1) EUR6.3000 - 01 Dec 2025
FTIF - FRANKLIN INCOME FUND A(MDIS) (AUD-H1) AUD7.0800 - 01 Dec 2025
FTIF - FRANKLIN INCOME FUND A(MDIS) (JPY-H1) JPY899.9400 - 01 Dec 2025
FTIF - FRANKLIN INCOME FUND A(MDIS) (SGD-H1) S$6.3300 - 01 Dec 2025
FTIF - FRANKLIN INCOME FUND A(MDIS) (USD) US$9.7000 - 01 Dec 2025
FTIF - FRANKLIN INCOME FUND W (MDIS) USD US$9.0500 - 01 Dec 2025
FTIF - FRANKLIN MUTUAL U.S. VALUE FUND A(ACC) (SGD) S$18.4200 - 01 Dec 2025
FTIF - FRANKLIN MUTUAL U.S. VALUE FUND A(ACC) (USD) US$118.9700 - 01 Dec 2025
FTIF - FRANKLIN TECHNOLOGY FUND A (ACC) SGD-H1 S$30.0600 - 01 Dec 2025
FTIF - FRANKLIN TECHNOLOGY FUND A (ACC) USD US$60.6300 - 01 Dec 2025
FTIF - FRANKLIN U.S. GOVERNMENT FUND A(MDIS) (USD) US$7.2100 - 01 Dec 2025
FTIF - FRANKLIN U.S. OPPORTUNITIES FUND A(ACC) (SGD) S$43.3600 - 01 Dec 2025
FTIF - FRANKLIN U.S. OPPORTUNITIES FUND A(ACC) (SGD-H) S$51.4600 - 01 Dec 2025
FTIF - FRANKLIN U.S. OPPORTUNITIES FUND A(ACC) (USD) US$37.6200 - 01 Dec 2025
FTIF - FRANKLIN U.S. OPPORTUNITIES FUND AS (ACC) SGD CPF S$29.1700 - 01 Dec 2025
FTIF - TEMPLETON ASIAN GROWTH FUND A(ACC) (SGD) S$11.2600 - 01 Dec 2025
FTIF - TEMPLETON ASIAN GROWTH FUND A(ACC) (USD) US$45.7600 - 01 Dec 2025
FTIF - TEMPLETON CHINA FUND A(ACC) (SGD) S$8.3200 - 01 Dec 2025
FTIF - TEMPLETON CHINA FUND A(ACC) (USD) US$26.0700 - 01 Dec 2025
FTIF - TEMPLETON EMERGING MARKETS BALANCE FUND A(ACC) (USD) US$13.6200 - 01 Dec 2025
FTIF - TEMPLETON EMERGING MARKETS BOND FUND A (MDIS) USD US$4.3500 - 01 Dec 2025
FTIF - TEMPLETON EMERGING MARKETS BOND FUND A (QDIS) USD US$7.5200 - 01 Dec 2025
FTIF - TEMPLETON EMERGING MARKETS FUND A(ACC) (SGD) S$13.0000 - 01 Dec 2025
FTIF - TEMPLETON EMERGING MARKETS FUND A(ACC) (USD) US$64.4600 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL BOND FUND A (MDIS) (GBP) GBP8.2000 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL BOND FUND A (MDIS) (GBP-H) GBP5.0600 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL BOND FUND A (MDIS) EUR-H1 EUR5.6500 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL BOND FUND A(ACC) (USD) US$27.3400 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL BOND FUND A(MDIS) (SGD) S$6.0600 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL BOND FUND A(MDIS) (SGD-H1) S$6.1000 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL BOND FUND A(MDIS) (USD) US$10.8200 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL BOND FUND MDIS (AUD-H1) AUD5.8100 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL FUND A(ACC) (SGD) S$12.8000 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL FUND A(ACC) (USD) US$52.5500 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL FUND AS (ACC) SGD CPF S$13.2900 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL LEADERS FUND A(MDIS) (SGD) S$7.5200 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL LEADERS FUND A(MDIS-PLUS) USD US$12.2100 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL LEADERS FUND AS (MDIS) SGD CPF S$11.9700 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL SMALLER COMPANIES FUND A(ACC) (USD) US$55.0900 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL TOTAL RETURN FUND A (SGD) MDIS S$5.0800 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL TOTAL RETURN FUND A(MDIS) SGD-H S$4.5800 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL TOTAL RETURN FUND A(MDIS) USD US$7.7300 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL VALUE AND INCOME FUND A(ACC) (SGD) S$16.2900 - 01 Dec 2025
FTIF - TEMPLETON GLOBAL VALUE AND INCOME FUND AS (ACC) SGD CPF S$15.5600 - 01 Dec 2025
FTIF - TEMPLETON JAPAN FUND A(ACC) (USD) US$13.7800 - 01 Dec 2025
FTIF - TEMPLETON KOREA FUND A(ACC) (SGD) S$6.5386 - 25 May 2018
FTIF - TEMPLETON KOREA FUND A(ACC) (USD) US$5.6600 - 25 May 2018
FTIF - TEMPLETON LATIN AMERICA FUND A(ACC) (SGD) S$8.3200 - 01 Dec 2025
FTIF - TEMPLETON LATIN AMERICA FUND A(ACC) (USD) US$78.7700 - 01 Dec 2025
FTIF - TEMPLETON THAILAND FUND A(ACC) (USD) US$29.7200 - 13 Dec 2019
FTSF - FRANKLIN GLOBAL SUKUK FUND A (ACC) USD US$13.8500 - 01 Dec 2025
FTSF - FRANKLIN GLOBAL SUKUK FUND A (MDIS) SGD S$8.1200 - 01 Dec 2025
FTSF - FRANKLIN GLOBAL SUKUK FUND A (MDIS) USD US$8.0800 - 01 Dec 2025
FTSF - FRANKLIN SHARIAH TECHNOLOGY FUND A (ACC) SGD S$14.7300 - 01 Dec 2025
FTSF - FRANKLIN SHARIAH TECHNOLOGY FUND A (ACC) SGD-H1 S$14.0900 - 01 Dec 2025
FTSF - FRANKLIN SHARIAH TECHNOLOGY FUND A (ACC) USD US$15.3900 - 01 Dec 2025
FTSF - TEMPLETON SHARIAH ASIAN GROWTH FUND A (ACC) SGD S$11.4200 - 12 Dec 2017
FTSF - TEMPLETON SHARIAH GLOBAL EQUITY FUND A (ACC) SGD S$18.9000 - 01 Dec 2025
FTSF - TEMPLETON SHARIAH GLOBAL EQUITY FUND A (ACC) USD US$19.2200 - 01 Dec 2025
FTSF - TEMPLETON SHARIAH GLOBAL EQUITY FUND AS (ACC) SGD S$16.6500 - 01 Dec 2025
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THREADNEEDLE INVESTMENTS SINGAPORE (PTE.) LIMITED
Name of Funds Bid/NAV Price Offer Price Price as at
CT GLOBAL EXTENDED ALPHA FUND (GBP) ACC GBP2.0574 - 01 Dec 2025
CT GLOBAL EXTENDED ALPHA FUND (SGD) ACC S$3.5254 - 01 Dec 2025
CT GLOBAL EXTENDED ALPHA FUND (SGD-H) ACC S$3.2723 - 01 Dec 2025
CT GLOBAL EXTENDED ALPHA FUND (USD) ACC US$2.7225 - 01 Dec 2025
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UBS GLOBAL ASSET MANAGEMENT (S) LTD
Name of Funds Bid/NAV Price Offer Price Price as at
UBS (CAY) CHINA A OPPORTUNITY A2 (USD) US$236.6300 - 01 Dec 2025
UBS (CAY) CHINA A OPPORTUNITY CLASS A SHARES (USD) US$320.9600 - 01 Dec 2025
UBS (CAY) CHINA A OPPORTUNITY CLASS Q SHARES (USD) US$146.9300 - 01 Dec 2025
UBS (LUX) - SYSTEMATIC ALLOCATION PORT MEDIUM USD EUR-H PACC EUR116.3300 - 01 Dec 2025
UBS (LUX) BOND FUND - ASIA FLEXIBLE (USD) P-MDIST US$105.4400 - 01 Dec 2025
UBS (LUX) BOND FUND - CONVERT EUROPE (EUR) P-ACC EUR191.7900 - 01 Dec 2025
UBS (LUX) BOND FUND - FULL CYCLE ASIAN BOND (USD) P-MDIST US$77.6800 - 01 Dec 2025
UBS (LUX) BOND FUND- ASIAN LOCAL CURRENCY BOND (USD) P-MDIST US$77.9100 - 21 Jun 2018
UBS (LUX) BOND SICAV - ASIAN HIGH YIELD (USD) (SGD-H) Q-MDIST S$55.8600 - 01 Dec 2025
UBS (LUX) BOND SICAV - ASIAN HIGH YIELD USD (SGD-H) P-MDIST S$52.2800 - 01 Dec 2025
UBS (LUX) EQUITY FUND - CHINA OPPORTUNITY (AUD-H) P-ACC AUD124.3000 - 01 Dec 2025
UBS (LUX) EQUITY FUND - CHINA OPPORTUNITY (AUD-H) P-MDIST AUD100.2400 - 01 Dec 2025
UBS (LUX) EQUITY FUND - CHINA OPPORTUNITY (HKD) P- MDIST HKD1,633.9000 - 01 Dec 2025
UBS (LUX) EQUITY FUND - CHINA OPPORTUNITY (HKD) P-ACC HKD1,925.0800 - 01 Dec 2025
UBS (LUX) EQUITY FUND - CHINA OPPORTUNITY (RMB-H) P- ACC CNH1,938.2900 - 01 Dec 2025
UBS (LUX) EQUITY FUND - CHINA OPPORTUNITY (SGD) P- ACC S$245.5800 - 01 Dec 2025
UBS (LUX) EQUITY FUND - CHINA OPPORTUNITY (USD) P- MDIST US$162.6200 - 01 Dec 2025
UBS (LUX) EQUITY FUND - CHINA OPPORTUNITY (USD) P-ACC US$1,438.6300 - 01 Dec 2025
UBS (LUX) EQUITY FUND - CHINA OPPORTUNITY (USD) Q ACC US$212.1000 - 01 Dec 2025
UBS (LUX) EQUITY FUND - GLOBAL INCOME (USD) P-8% MDIST US$72.4900 - 01 Dec 2025
UBS (LUX) EQUITY SICAV - ALL CHINA (SGD) P-ACC S$97.2000 - 01 Dec 2025
UBS (LUX) EQUITY SICAV - ALL CHINA (USD) (HKD) P-ACC HKD979.7700 - 01 Dec 2025
UBS (LUX) EQUITY SICAV - ALL CHINA (USD) P-ACC US$96.6500 - 01 Dec 2025
UBS (LUX) EQUITY SICAV - ALL CHINA (USD) Q-ACC US$99.6900 - 01 Dec 2025
UBS (LUX) EQUITY SICAV - US TOTAL YIELD (USD) (CHF-H) P-DIST CHF139.3200 - 01 Dec 2025
UBS (LUX) EQUITY SICAV - US TOTAL YIELD (USD) (EUR H) P-DIST EUR153.1800 - 01 Dec 2025
UBS (LUX) EQUITY SICAV - US TOTAL YIELD (USD) (SGD-H) P-MDIST S$120.4800 - 01 Dec 2025
UBS (LUX) EQUITY SICAV - US TOTAL YIELD (USD) P-ACC US$357.6300 - 01 Dec 2025
UBS (LUX) EQUITY SICAV - US TOTAL YIELD (USD) P-MDIST US$149.7700 - 01 Dec 2025
UBS (LUX) INVESTMENT SICAV - CHINA A OPPORTUNITY (USD) I-A1-ACC US$112.8600 - 01 Dec 2025
UBS (LUX) INVESTMENT SICAV - CHINA A OPPORTUNITY (USD) P-ACC US$271.4000 - 01 Dec 2025
UBS (LUX) KEY SELECTION SICAV - CHINA ALLOCATION OPPORTUNITY (RMB-H) P-6% MDIST CNH591.6800 - 28 Nov 2025
UBS (LUX) KEY SELECTION SICAV - CHINA ALLOCATION OPPORTUNITY (AUD-H) P-6%-MDIST AUD60.0500 - 28 Nov 2025
UBS (LUX) KEY SELECTION SICAV - CHINA ALLOCATION OPPORTUNITY (AUD-H) P-MDIST AUD56.9500 - 28 Nov 2025
UBS (LUX) KEY SELECTION SICAV - CHINA ALLOCATION OPPORTUNITY (HKD) P-6% MDIST HKD568.9000 - 28 Nov 2025
UBS (LUX) KEY SELECTION SICAV - CHINA ALLOCATION OPPORTUNITY (HKD) P-MDIST HKD660.2500 - 28 Nov 2025
UBS (LUX) KEY SELECTION SICAV - CHINA ALLOCATION OPPORTUNITY (SGD-H) P-6% MDIST S$59.6200 - 28 Nov 2025
UBS (LUX) KEY SELECTION SICAV - CHINA ALLOCATION OPPORTUNITY (SGD-H) P-MDIST S$63.8400 - 28 Nov 2025
UBS (LUX) KEY SELECTION SICAV - CHINA ALLOCATION OPPORTUNITY (USD) P-6% MDIST US$56.9000 - 28 Nov 2025
UBS (LUX) KEY SELECTION SICAV - CHINA ALLOCATION OPPORTUNITY (USD) P-MDIST US$67.3800 - 28 Nov 2025
UBS (LUX) KEY SELECTION SICAV - EMERGING MARKETS INCOME (USD) P-MDIST US$50.7400 - 28 Apr 2025
UBS (LUX) REAL ESTATE FUNDS SELECTION - GLOBAL (EUR) P-ACC EUR129.4100 - 31 Oct 2025
UBS (LUX) REAL ESTATE FUNDS SELECTION - GLOBAL (EUR) P-DIST EUR108.2100 - 31 Oct 2025
UBS (LUX) REAL ESTATE FUNDS SELECTION - GLOBAL (GBP-H) P-ACC GBP134.7400 - 31 Oct 2025
UBS (LUX) REAL ESTATE FUNDS SELECTION - GLOBAL (GBP-H) P-DIST GBP112.9800 - 31 Oct 2025
UBS (LUX) REAL ESTATE FUNDS SELECTION - GLOBAL (HKD-H) P-DIST HKD103.9600 - 31 Oct 2025
UBS (LUX) REAL ESTATE FUNDS SELECTION - GLOBAL (USD-H) P-ACC US$154.9900 - 31 Oct 2025
UBS (LUX) REAL ESTATE FUNDS SELECTION - GLOBAL (USD-H) P-DIST US$129.8800 - 31 Oct 2025
UBS (LUX) STRATEGY FUND - BALANCED (USD) (SGD-H) P-MDIST S$1,157.7400 - 28 Nov 2025
UBS (LUX) STRATEGY FUND - BALANCED (USD-H) P-MDIST US$1,140.9100 - 28 Nov 2025
UBS (LUX) STRATEGY SICAV - DYNAMIC INCOME (USD) P-MDIST US$97.0000 - 28 Nov 2025
UBS (LUX) STRATEGY SICAV - SYSTEMATIC ALLOCATION PORTFOLIO DEFENSIVE (USD) (SGD-H) P-ACC S$115.9000 - 01 Dec 2025
UBS (LUX) STRATEGY SICAV - SYSTEMATIC ALLOCATION PORTFOLIO MEDIUM (USD) (SGD-H) P-ACC S$128.0800 - 01 Dec 2025
UBS ASIAN GLOBAL STRATEGY BALANCED (USD) (SGD-H) P-MDIST S$102.3800 - 28 Nov 2025
UBS EURO HIGH YIELD (AUD-H) AUD84.0600 - 01 Dec 2025
UBS EURO HIGH YIELD (EUR) P-MDIST EUR120.5300 - 01 Dec 2025
UBS EURO HIGH YIELD (SGD-H) (MDIS) S$84.8200 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (SGD-H) P-8% (MDIST) S$70.8400 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (AUD-H) P-8% (MDIST) AUD75.2300 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (EUR) (ACC) EUR159.1400 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (EUR) P-8% (MDIST) EUR63.1800 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (GBP-H) P-8% (MDIST) GBP70.7200 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (HKD-H) P-8% (MDIST) HKD704.2200 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (RMB-H) P-8% (MDIST) CNH944.9900 - 15 Dec 2020
UBS EUROPEAN GROWTH AND INCOME (SGD-H) (ACC) S$177.9700 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (SGD-H) (MDIST) S$107.0500 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (USD-H) (ACC) US$191.1400 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (USD-H) (MDIST) US$109.8800 - 01 Dec 2025
UBS EUROPEAN GROWTH AND INCOME (USD-H) P-8% (MDIST) US$75.8600 - 01 Dec 2025
UBS EUROPEAN OPPORTUNITY UNCONSTRAINED (EUR) P-ACC SGD-H S$244.9900 - 01 Dec 2025
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Refer to the latest prospectus / PHS / factsheet at
https://www.maybank2u.com.sg/en/personal/investment/unit-trusts/fund-houses/fund-houses.page


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