Accessibility & Settings

Accessibility & Settings

DEACTIVATE READER VIEW
''
46
Provider Fund NAV Date Disclosure Document Product Highlight Sheet Annual Report / Interim Report Fund Factsheet
UOB ASSET MANAGEMENT (MALAYSIA) BHD UNITED GLOBAL DURABLE EQUITY FUND - SGD HEDGED 0.6296 06/05/2024
UOB ASSET MANAGEMENT (MALAYSIA) BHD UNITED GLOBAL DURABLE EQUITY FUND - USD 0.6942 06/05/2024
UOB ASSET MANAGEMENT (MALAYSIA) BHD UNITED GLOBAL QUALITY EQUITY FUND - AUD HEDGED 0.5201 06/05/2024
UOB ASSET MANAGEMENT (MALAYSIA) BHD UNITED GLOBAL QUALITY EQUITY FUND - MYR HEDGED 0.7469 06/05/2024
UOB ASSET MANAGEMENT (MALAYSIA) BHD UNITED GLOBAL QUALITY EQUITY FUND - SGD HEDGED 0.6309 06/05/2024
UOB ASSET MANAGEMENT (MALAYSIA) BHD UNITED GLOBAL QUALITY EQUITY FUND - USD 0.7630 06/05/2024
UOB ASSET MANAGEMENT (MALAYSIA) BHD UNITED INCOME PLUS FUND 0.5516 06/05/2024
UOB ASSET MANAGEMENT (MALAYSIA) BHD UNITED JAPAN DISCOVERY FUND - MYR HEDGED 0.6485 02/05/2024
UOB ASSET MANAGEMENT (MALAYSIA) BHD UNITED GLOBAL HEALTHCARE FUND - CLASS A - MYR ACC 1.5690 06/05/2024
UOB ASSET MANAGEMENT (MALAYSIA) BHD UNITED GLOBAL HEALTHCARE FUND - CLASS A - MYR ACC (HEDGED) 1.3270 06/05/2024