Fund Name Fund Category Currency NAV Price Change % Change NAV Date
Aiiman Global Equity Fund (MYR Class) Equity MYR 0.6819 -0.0011 -0.1611 19/04/2021
Aiiman Global Equity Fund (MYR Hedged-Class) Equity MYR 0.6869 -0.0007 -0.1018 19/04/2021

Fund Name Fund Category Currency NAV Price Change % Change NAV Date
Aiiman Asia Pacific (ex Japan) Dividend Fund Equity MYR 0.6746 -0.0003 -0.0445 19/04/2021

Fund Name Fund Category Currency NAV Price Change % Change NAV Date
Aiiman Income Extra Fund Fixed Income MYR 1.0407 0.0003 0.0288 19/04/2021