Asn Equity 3 Price
0 9078 asn sara 1.
Asn equity 3 price. 0 095 0 100 0 005 5 00. 0 9127 asn imbang 2. 0 8410 asn imbang 1. Fund nav rm historical pricing variable price funds asn.
Amanah saham nasional berhad asnb menawarkan 14 produk unit amanah iaitu asb asb2 asm 2 wawasan asm asm 3 asb 3 didik asn asn equity 2 asn equity 3 asn equity 5 asn imbang 1 asn imbang 2 dan asn sara 1 dan asn sara 2 dan instrumen perwarisan iaitu hibah amanah dan pengisytiharan amanah. Amanah saham nasional bhd asnb has declared a total income distribution payout of rm645 9 million for its fixed price fund amanah saham malaysia 3 asm 3 and variable price funds asn equity 5 and asn sara mixed asset conservative 2 for the financial year ending sept 30 2020. Asn equity 5 type growth category equity launch date 24 september 2018 investment objective asn equity 5 aims to provide investment opportunity which generate a reasonable level of capital appreciation and income distribution to the unit holders through a diversified portfolio of investments potential investors asn equity 5 is suitable for. Permodalan nasional bhd pnb which owns the unit trust company said asm 3 declared a total income.
Asnb komited membantu masyarakat melabur dalam unit amanah dan membina tabungan. Kuala lumpur sept 30 amanah saham nasional bhd asnb has declared a total income distribution payout of rm645 9 million for its fixed price fund amanah saham malaysia 3 asm 3 and variable price funds asn equity 5 and asn sara mixed asset conservative 2 for the financial year ending september 30 2020. Prices displayed on this website are delayed by 15 minutes. 2 hover over the column titles.
No name code rem last done lacp chg chg vol 00 buy vol 00 buy. Past performance of a fund is not an indicator of its future. Kuala lumpur sept 30. Please note the price of units and dividends payable if any may go up or down.
Amanah saham nasional bhd asnb has declared a total income distribution payout of rm645 9 million for its fixed price fund amanah saham malaysia 3 asm 3 and variable price funds asn equity 5 and asn sara mixed asset conservative 2 for the financial year ending sept 30 2020. Click any row for more information on the equity. 3 sort by desired column. The income distribution declared by asm 3 asn equity 5 and asn sara 2 are derived from the funds realised gains dividends and other income and this is in accordance with pnb s objective.