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SingIndexFund

5.100
0.000
Volume:- -
Turnover:- -
Market Cap:69.09M
PE:- -
High:5.100
Open:5.100
Low:5.100
Close:5.100
52wk High:5.370
52wk Low:3.660
Shares:13.55M
Float Shares:- -
Volume Ratio:- -
T/O Rate:- -
Dividend:- -
Dividend Rate:- -
ROE:--
ROA:--
PB:--
PE(LYR):- -

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Singapore Index Fund posts June 22 NAV per unit of S$ 4.84

Reuters
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Jun 23

Singapore Index Fund NAV per unit stands at S$ 4.83 as of June 19, 2026

Reuters
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Jun 22

Singapore Index Fund reports NAV per unit of S$ 4.85 for period ended June 18, 2026

Reuters
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Jun 19

Singapore Index Fund NAV per unit for June 17, 2026 stands at S$ 4.81

Reuters
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Jun 18

Singapore Index Fund NAV per unit at S$ 4.76 as of June 16, 2026

Reuters
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Jun 17

Singapore Index Fund NAV per unit stands at S$ 4.72 as of June 15, 2026

Reuters
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Jun 16

Singapore Index Fund NAV per unit at $4.68 as of June 12, 2026

Reuters
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Jun 15

Singapore Index Fund June 11 NAV per unit at S$ 4.64

Reuters
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Jun 12

Singapore Index Fund NAV per unit stands at S$ 4.61 as of June 10, 2026

Reuters
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Jun 11

Singapore Index Fund June 8 NAV per unit at S$ 4.62

Reuters
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Jun 09

Singapore Index Fund NAV per unit stands at S$ 4.72 as of June 4, 2026

Reuters
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Jun 05

Singapore Index Fund NAV per unit for June 3 stands at S$ 4.78

Reuters
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Jun 04

Singapore Index Fund May 28 NAV per unit at S$ 4.69

Reuters
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Jun 02

Singapore Index Fund May 26 NAV per unit at S$ 4.68

Reuters
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May 28

Singapore Index Fund NAV per unit stands at S$ 4.72 as of May 25, 2026

Reuters
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May 26

Singapore Index Fund NAV per unit at S$ 4.72 as of May 19, 2026

Reuters
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May 20

Singapore Index Fund NAV per unit at S$ 4.64 as of May 15, 2026

Reuters
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May 18

Singapore Index Fund NAV per unit at S$ 4.65 as of May 14, 2026

Reuters
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May 15

Singapore Index Fund NAV per unit S$ 4.6 as of May 12, 2026

Reuters
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May 13

Singapore Index Fund NAV per unit at $4.56 as of May 8, 2026

Reuters
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May 11