Accessibility & Settings

Accessibility & Settings

DEACTIVATE READER VIEW
''
2
Provider Fund NAV Date Disclosure Document Product Highlight Sheet Annual Report / Interim Report Fund Factsheet
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT AUD INCOME FUND - AUD 0.5909 28/05/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT AUD INCOME FUND - MYR 0.5345 28/05/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT BALANCED FUND - MYR 0.8138 28/05/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT BOND FUND - MYR 0.5948 28/05/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT BOND FUND - USD-HEDGED 0.4651 28/05/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT DIVIDEND FUND - MYR 0.8548 28/05/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT INCOME FUND - MYR 0.6649 28/05/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT OPPORTUNITY FUND - MYR 1.2648 28/05/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT SGD INCOME FUND - MYR 0.7200 28/05/2024
AHAM ASSET MANAGEMENT BERHAD AHAM SELECT SGD INCOME FUND - SGD 0.5306 28/05/2024