Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1422
Change % : -0.43%
Thursday, 20 June 2013
Wednesday, 19 June 2013
Daily Pricing 19/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1471
Change % : +0.34%
NAV RM : 1.1471
Change % : +0.34%
Daily Pricing 18/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1432
Change % : +0.47%
NAV RM : 1.1432
Change % : +0.47%
Tuesday, 18 June 2013
Daily Pricing 17/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1378
Change % : +0.09%
NAV RM : 1.1378
Change % : +0.09%
Monday, 17 June 2013
Daily Pricing 14/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1368
Change % : +0.66%
NAV RM : 1.1368
Change % : +0.66%
Friday, 14 June 2013
Daily Pricing 13/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1293
Change % : -1.58%
NAV RM : 1.1293
Change % : -1.58%
Thursday, 13 June 2013
Daily Pricing 12/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1429
NAV RM : 1.1429
Tuesday, 11 June 2013
Daily Pricing 11/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1474
NAV RM : 1.1474
Daily Pricing 10/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1524
NAV RM : 1.1524
Monday, 10 June 2013
Daily Pricing 7/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1450
Change % : +0.37%
NAV RM : 1.1450
Change % : +0.37%
Thursday, 6 June 2013
Daily Pricing 6/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1408
Change % : -0.54%
NAV RM : 1.1408
Change % : -0.54%
Daily Pricing 5/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1470
Change % : +0.25%
NAV RM : 1.1470
Change % : +0.25%
Wednesday, 5 June 2013
Daily Pricing 4/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1441
Change % : +0.15%
NAV RM : 1.1441
Change % : +0.15%
Tuesday, 4 June 2013
Daily Pricing 3/6/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1424
Change % : -0.62%
NAV RM : 1.1424
Change % : -0.62%
Monday, 3 June 2013
Daily Pricing 31/5/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1495
Change % : +0.23%
NAV RM : 1.1495
Change % : +0.23%
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