Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1848
Friday, 22 November 2013
Saturday, 16 November 2013
Daily Pricing 14/11/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1839
NAV RM : 1.1839
Friday, 8 November 2013
Daily Pricing 7/11/2013
Fund : Kenanga Syariah Growth Fund
NAV RM : 1.1831
NAV RM : 1.1831
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