ISIN: SGXZ27511609

Basic information
- Management company.Amova Asset Management Asia Limited
- Issue Date.2022-07-21
- Fund Size.2.41B
- Investment sector.--
- Geographic distribution.--
- Management fee rate.+1.25%
1-Week
-0.52%
1-Month
+3.06%
3-Month
+10.61%
6-Month
+17.25%
This Year
+8.73%
1-Year
+33.99%
2-Year
+25.34%
3-Year
+58.95%
5-Year
--