Fund Performance


Prices for our funds are as follows:
 
NAV Friday, 3 February 2012
 
Fund
 
NAV
+/-
+/- (%)
LIEF**
Libra IncomeEXTRA Fund
0.4590   
0.00000   
0.000%   
LEEF
Libra EquityEXTRA Fund
0.5591   
+0.00260   
+0.467%   
LSEF
Libra SyariahEXTRA Fund
0.2317   
+0.00020   
+0.086%   
LBEF
Libra BondEXTRA Fund
0.5088   
+0.00020   
+0.039%   
LMEF
Libra MoneyEXTRA Fund
0.5401   
0.00000   
0.000%   
LVEF**
Libra VersatileEXTRA Fund
0.5173   
0.00000   
0.000%   
ASNITA
Libra Amanah Saham Wanita
0.5371   
0.00000   
0.000%   
ASBOND
Libra Asnita Bond Fund
0.5838   
+0.00050   
+0.086%   
LDEF**
Libra DividendEXTRA Fund
0.6576   
0.00000   
0.000%   
LTEF
Libra TacticalEXTRA Fund
0.5723   
+0.00140   
+0.245%   
LCLAF**
Libra Consumer And Leisure Asia Fund
0.5339   
0.00000   
0.000%   
LLF
Libra Liquidity Fund
0.5057   
0.00000   
0.000%   
LIIF1
Libra Institutional Income Fund 1
1.0073   
+0.00030   
+0.030%   
LDSF
Libra Dana Safa Fund
0.5211   
+0.00010   
+0.019%   
PREMIER
Libra Premier Income Fund
1.0092   
+0.00010   
+0.010%   
AMMAR
Libra Ammar Income Fund
1.0090   
0.00000   
0.000%   
CARE**
Libra Canada Australia Resource Economies Fund
0.4884   
0.00000   
0.000%   
LMEF II
Libra MoneyEXTRA Fund II
0.5000   
0.00000   
0.000%   
LVOF**
Libra Value Opportunity Fund
0.5036   
+0.00040   
+0.079%   
 
 
 
 
 
+/-
+/- (%)
FBMKLCI
Kuala Lumpur Composite Index
1,538.77      
+1.68   
+0.109%   
FBM100
FBM100
10,505.97      
+16.56   
+0.158%   
FBMSyariah
FBM Syariah
10,676.20      
+34.37   
+0.323%   
FD6M
Fixed Deposit Rate - 6 Months
3.10      
0.00   
0.000%   
FD12M
Fixed Deposit Rate - 12 Months
3.15      
0.00   
0.000%   
Repo Rate
Repo Rate – Offer to MoneyEXTRA Fund
2.96      
0.00   
0.000%   
 

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