Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1469
Change % : -0.14%
Friday, 31 May 2013
Wednesday, 29 May 2013
Daily Pricing 29/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1485
Change % : +0.72%
NAV RM : 1.1485
Change % : +0.72%
Daily Pricing 28/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1403
Change % : +0.90%
NAV RM : 1.1403
Change % : +0.90%
Tuesday, 28 May 2013
Daily Pricing 27/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1301
Change % : +0.09%
NAV RM : 1.1301
Change % : +0.09%
Sunday, 26 May 2013
Daily Pricing 23/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1291
Change % : -0.78%
NAV RM : 1.1291
Change % : -0.78%
Thursday, 23 May 2013
Daily Pricing 22/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1380
Change % : -0.40%
NAV RM : 1.1380
Change % : -0.40%
Tuesday, 21 May 2013
Daily Pricing 21/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1426
Change % : +0.51%
NAV RM : 1.1426
Change % : +0.51%
Pos Form Untuk Investor
Bagi semua bakal investor saya akan pos borang-borang kepada anda secepat mungkin. Semoga anda semua mencapai target kewangan masing-masing.
Daily Pricing 20/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1368
Change % : +1.04%
NAV RM : 1.1368
Change % : +1.04%
Monday, 20 May 2013
Daily Pricing 17/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1251
Change % : +0.64%
NAV RM : 1.1251
Change % : +0.64%
Thursday, 16 May 2013
Daily Pricing 16/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1180
Change % : -0.58%
NAV RM : 1.1180
Change % : -0.58%
Daily Pricing 15/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1245
Change % : +0.36%
NAV RM : 1.1245
Change % : +0.36%
Wednesday, 15 May 2013
Daily Pricing 14/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1205
Change % : +0.15%
NAV RM : 1.1205
Change % : +0.15%
Monday, 13 May 2013
Daily Pricing 13/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1188
Change % : +1.76%
NAV RM : 1.1188
Change % : +1.76%
Sunday, 12 May 2013
Daily Pricing 10/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.0994
Change % : +0.25%
NAV RM : 1.0994
Change % : +0.25%
Saturday, 11 May 2013
Daily Pricing 9/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.0967
Change % : +0.57%
NAV RM : 1.0967
Change % : +0.57%
Wednesday, 8 May 2013
Daily Pricing 8/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.0905
Change % : +0.56%
NAV RM : 1.0905
Change % : +0.56%
Daily Pricing 7/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.0844
Change % : +1.09%
NAV RM : 1.0844
Change % : +1.09%
Monday, 6 May 2013
Daily Pricing 6/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.0727
Change % : +2.76%
NAV RM : 1.0727
Change % : +2.76%
Daily Pricing 3/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.0439
Change % : -0.20%
NAV RM : 1.0439
Change % : -0.20%
Thursday, 2 May 2013
Daily Pricing 2/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.0460
Change % : -0.70%
NAV RM : 1.0460
Change % : -0.70%
Daily Pricing 30/4/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.0534
Change % : +0.34%
NAV RM : 1.0534
Change % : +0.34%
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