Fund Name Fund Category Currency NAV Price Change % Change NAV Date
Aiiman Global Equity Fund (MYR Class) Equity MYR 0.5807 -0.0130 -2.1897 28/10/2020
Aiiman Global Equity Fund (MYR Hedged-Class) Equity MYR 0.5795  

-0.0112

 

-1.8961 28/10/2020

Fund Name Fund Category Currency NAV Price Change % Change NAV Date
Aiiman Asia Pacific (ex Japan) Dividend Fund Equity MYR 0.5963 -0.0010 -0.1674 28/10/2020

Fund Name Fund Category Currency NAV Price Change % Change NAV Date
Aiiman Income Extra Fund Fixed Income MYR 1.0491 0.0004 0.0381 28/10/2020