Accessibility & Settings

Accessibility & Settings

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Provider Fund NAV Date Disclosure Document Product Highlight Sheet Annual Report / Interim Report Fund Factsheet
RHB ASSET MANAGEMENT SDN BHD RHB GOLDEN LIFE 2030 0.5914 16/05/2024
RHB ASSET MANAGEMENT SDN BHD RHB GOLDEN LIFE TODAY 0.6593 16/05/2024
RHB ASSET MANAGEMENT SDN BHD RHB GROWTH AND INCOME FOCUS TRUST 0.3327 15/05/2024
RHB ASSET MANAGEMENT SDN BHD RHB INCOME FUND 2 1.1697 15/05/2024
RHB ASSET MANAGEMENT SDN BHD RHB ISLAMIC BOND FUND 0.9243 16/05/2024
RHB ASSET MANAGEMENT SDN BHD RHB ISLAMIC CASH MANAGEMENT FUND 1.0632 16/05/2024
RHB ASSET MANAGEMENT SDN BHD RHB KIDSAVE TRUST 0.3871 15/05/2024
RHB ASSET MANAGEMENT SDN BHD RHB KLCI TRACKER FUND 1.0575 16/05/2024
RHB ASSET MANAGEMENT SDN BHD RHB LEISURE, LIFESTYLE & LUXURY FUND 0.9896 15/05/2024
RHB ASSET MANAGEMENT SDN BHD RHB MALAYSIA DIVA FUND 0.4845 16/05/2024