Fund Performance


Prices for our funds are as follows:
 
NAV Monday, 8 February 2010
 
Fund
 
NAV/Buy
Sell
+/-
+/- (%)
AIEF
IncomeEXTRA Fund
0.4934   
0.4934     
+0.00030   
+0.061%   
AEEF
EquityEXTRA Fund
0.5006   
0.5006     
-0.00460   
-0.911%   
ASEF
SyariahEXTRA Fund
0.1908   
0.1908     
-0.00160   
-0.832%   
ABEF
BondEXTRA Fund
0.5031   
0.5031     
+0.00020   
+0.040%   
AMEF
MoneyEXTRA Fund
0.5359   
0.5359     
+0.00010   
+0.019%   
ATEF
TacticalEXTRA Fund
0.5933   
0.5933     
-0.00520   
-0.869%   
ASNITA
AMANAH SAHAM WANITA
0.4525   
0.4525     
-0.00400   
-0.876%   
ASBOND
Asnita Bond Fund
0.5771   
0.5771     
+0.00020   
+0.035%   
ALF
Avenue Liquidity Fund
0.5040   
0.5040     
+0.00010   
+0.020%   
ADEF**
DividendEXTRA Fund
0.5543   
0.5543     
-0.00220   
-0.395%   
AVEF**
VersatileEXTRA Fund
0.4748   
0.4748     
-0.00430   
-0.898%   
ACLAF**
Consumer And Leisure Asia Fund
0.4330   
0.4330     
-0.00450   
-1.029%   
AIIF1
Avenue Institutional Income Fund One
1.0157   
1.0157     
+0.00050   
+0.049%   
AAAF
AsiaPac Alpha Fund
0.4827   
0.4827     
-0.00340   
-0.699%   
ADSF
Dana Safa Fund
0.5014   
0.5014     
+0.00020   
+0.040%   
 
 
 
 
 
+/-
+/- (%)
FBMKLCI
Kuala Lumpur Composite Index
1,235.22      
-12.68   
-1.016%   
FBM100
FBM100
8,095.11      
-78.20   
-0.957%   
FBMSyariah
FBM Syariah
8,359.80      
+119.12   
+1.446%   
FD6M
Fixed Deposit Rate - 6 Months
2.10      
0.00   
0.000%   
FD12M
Fixed Deposit Rate - 12 Months
2.50      
0.00   
0.000%   
Repo Rate
Repo Rate – Offer to MoneyEXTRA Fund
1.98      
0.00   
0.000%   
 

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