Fund Updates

Check out our latest Fund updates and download Fund reports.

09-01-2025
As of 11-2024
Fund
Bid Price (RM)
Offer Price (RM)
Nav Per Unit (RM)
Monthly Updates
Asia Pacific Growth Fund
2.9449
2.9449
2.9449
PDF - 191KB
Active Balanced Fund
3.4024
3.4024
3.4024
PDF - 185KB
Active Bond Fund
2.8597
2.8597
2.8597
PDF - 202KB
Dana Imbang Fund
3.2074
3.2074
3.2074
PDF - 185KB
Dana Income Plus
0.5795
0.5795
0.5795
PDF - 193KB
Select Balanced Fund
0.8078
0.8078
0.8078
PDF - 150KB
Select Bond Fund
0.5770
0.5770
0.5770
PDF - 153KB
Select Dividend Fund
0.8164
0.8164
0.8164
PDF - 132KB
Select Income Fund
0.6438
0.6438
0.6438
PDF - 157KB
Select Opportunity Fund
1.2644
1.2644
1.2644
PDF - 152KB
Global Equity Fund
1.2602
1.2602
1.2602
PDF - 160KB
Dana Islamic Asia Pacific Dynamic Equity
0.5700
0.5700
0.5700
PDF - 153KB

Fund prices: Bid price & offer price
Initial Bid price: RM1.0000
Initial Offer price: RM1.0000
Initial NAV per unit: RM1.0000

Dealing day A day on which the Bursa Malaysia is open for trading.

Publication Unit price per fund
Unit price will be published daily in major newspapers.

Historical Fund Price

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Note : Fund unit price are updated based on the latest valuation date.

Date
Bid Price (RM)
Offer Price (RM)
Nav Per Unit (RM)
Monthly Updates
30/12/2024
1.2446
1.2446
1.2446
30/12/2024
0.5609
0.5609
0.5609
31/12/2024
2.9778
2.9778
2.9778
31/12/2024
3.4334
3.4334
3.4334
31/12/2024
2.8714
2.8714
2.8714
31/12/2024
3.2377
3.2377
3.2377
31/12/2024
0.5787
0.5787
0.5787
31/12/2024
0.8144
0.8144
0.8144
31/12/2024
0.5783
0.5783
0.5783
31/12/2024
0.8239
0.8239
0.8239
31/12/2024
0.6460
0.6460
0.6460
31/12/2024
1.2889
1.2889
1.2889
31/12/2024
1.2419
1.2419
1.2419
31/12/2024
0.5603
0.5603
0.5603
2/1/2025
2.9598
2.9598
2.9598
2/1/2025
3.4290
3.4290
3.4290
2/1/2025
2.8703
2.8703
2.8703
2/1/2025
3.2318
3.2318
3.2318
2/1/2025
0.5789
0.5789
0.5789
2/1/2025
0.8122
0.8122
0.8122
2/1/2025
0.5780
0.5780
0.5780
2/1/2025
0.8217
0.8217
0.8217
2/1/2025
0.6442
0.6442
0.6442
2/1/2025
1.2878
1.2878
1.2878
2/1/2025
1.2448
1.2448
1.2448
2/1/2025
0.5607
0.5607
0.5607
3/1/2025
2.9692
2.9692
2.9692
3/1/2025
3.4249
3.4249
3.4249
3/1/2025
2.8694
2.8694
2.8694
3/1/2025
3.2283
3.2283
3.2283
3/1/2025
0.5791
0.5791
0.5791
3/1/2025
0.8153
0.8153
0.8153
3/1/2025
0.5783
0.5783
0.5783
3/1/2025
0.8238
0.8238
0.8238
3/1/2025
0.6453
0.6453
0.6453
3/1/2025
1.2880
1.2880
1.2880
3/1/2025
1.2586
1.2586
1.2586
3/1/2025
0.5673
0.5673
0.5673
6/1/2025
2.9884
2.9884
2.9884
6/1/2025
3.4207
3.4207
3.4207
6/1/2025
2.8690
2.8690
2.8690
6/1/2025
3.2212
3.2212
3.2212
6/1/2025
0.5793
0.5793
0.5793
6/1/2025
0.8170
0.8170
0.8170
6/1/2025
0.5780
0.5780
0.5780
6/1/2025
0.8277
0.8277
0.8277
6/1/2025
0.6467
0.6467
0.6467
6/1/2025
1.2857
1.2857
1.2857
6/1/2025
1.2737
1.2737
1.2737
6/1/2025
0.5737
0.5737
0.5737

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