ISIN: SGXZ16137382

Basic information
- Management company.UOB Asset Management Ltd
- Issue Date.2019-03-11
- Fund Size.3.58B
- Investment sector.--
- Geographic distribution.--
- Management fee rate.+0.63%
1-Week
+0.07%
1-Month
+0.15%
3-Month
+0.57%
6-Month
+0.65%
This Year
+0.60%
1-Year
+2.09%
2-Year
+3.20%
3-Year
+11.11%
5-Year
+10.37%