ISIN: SGXZ16137382

Day Chg.%(10-07)
+0.02%
NAV(10-07)
0.85
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Basic information

  • Management company.UOB Asset Management Ltd
  • Issue Date.2019-03-11
  • Fund Size.3.46B
  • Investment sector.--
  • Geographic distribution.--
  • Management fee rate.+0.63%
  • 1-Week
    +0.05%
  • 1-Month
    -0.48%
  • 3-Month
    -0.57%
  • 6-Month
    -0.05%
  • This Year
    0.00%
  • 1-Year
    +0.16%
  • 2-Year
    +2.06%
  • 3-Year
    +9.47%
  • 5-Year
    +9.60%
 
 
 
 

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