Fund Updates

Check out our latest Fund updates and download Fund reports.

09-04-2026
As of 01-2026
Fund
Bid Price (RM)
Offer Price (RM)
Nav Per Unit (RM)
Monthly Updates
Asia Pacific Growth Fund
3.5674
3.5674
3.5674
PDF - 348KB
Active Balanced Fund
3.5200
3.5200
3.5200
PDF - 313KB
Active Bond Fund
2.9640
2.9640
2.9640
PDF - 317KB
Dana Imbang Fund
3.3293
3.3293
3.3293
PDF- 315KB
Dana Income Plus
0.5732
0.5732
0.5732
PDF - 231KB
Select Balanced Fund
0.7855
0.7855
0.7855
PDF - 233KB
Select Bond Fund
0.5706
0.5706
0.5706
PDF - 234KB
Select Dividend Fund
0.8318
0.8318
0.8318
PDF - 216KB
Select Income Fund
0.6600
0.6600
0.6600
PDF - 245KB
Select Opportunity Fund
1.2354
1.2354
1.2354
PDF - 235KB
Global Equity Fund
1.1246
1.1246
1.1246
PDF - 242KB
Dana Islamic Asia Pacific Dynamic Equity
0.7205
0.7205
0.7205
PDF- 238KB

Dealing day A day on which the Bursa Malaysia is open for trading.

Historical Fund Price

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Note : Fund unit price are updated based on the latest valuation date.

Date
Bid Price (RM)
Offer Price (RM)
Nav Per Unit (RM)
Monthly Updates
1/1/2024
0.5834
0.5834
0.5834
1/1/2024
3.0569
3.0569
3.0569
1/1/2024
2.6375
2.6375
2.6375
1/1/2024
2.9201
2.9201
2.9201
1/1/2024
2.7159
2.7159
2.7159
1/1/2024
0.6966
0.6966
0.6966
1/1/2024
0.6455
0.6455
0.6455
1/1/2024
1.0443
1.0443
1.0443
1/1/2024
0.5897
0.5897
0.5897
1/1/2024
0.6777
0.6777
0.6777
2/1/2024
0.5834
0.5834
0.5834
2/1/2024
2.9201
2.9201
2.9201
2/1/2024
2.6375
2.6375
2.6375
2/1/2024
2.7159
2.7159
2.7159
2/1/2024
0.6777
0.6777
0.6777
2/1/2024
0.5897
0.5897
0.5897
2/1/2024
0.6966
0.6966
0.6966
2/1/2024
0.6455
0.6455
0.6455
2/1/2024
3.0569
3.0569
3.0569
2/1/2024
1.0443
1.0443
1.0443
3/1/2024
3.057
3.057
3.057
3/1/2024
2.7009
2.7009
2.7009
3/1/2024
2.6379
2.6379
2.6379
3/1/2024
0.5898
0.5898
0.5898
3/1/2024
0.6976
0.6976
0.6976
3/1/2024
0.6446
0.6446
0.6446
3/1/2024
2.9216
2.9216
2.9216
3/1/2024
0.5833
0.5833
0.5833
3/1/2024
1.0499
1.0499
1.0499
3/1/2024
0.6796
0.6796
0.6796
4/1/2024
2.7124
2.7124
2.7124
4/1/2024
0.5829
0.5829
0.5829
4/1/2024
2.9305
2.9305
2.9305
4/1/2024
3.0667
3.0667
3.0667
4/1/2024
2.6425
2.6425
2.6425
4/1/2024
0.7018
0.7018
0.7018
4/1/2024
1.056
1.056
1.056
4/1/2024
0.5895
0.5895
0.5895
4/1/2024
0.6443
0.6443
0.6443
4/1/2024
0.6854
0.6854
0.6854
5/1/2024
2.9391
2.9391
2.9391
5/1/2024
2.6479
2.6479
2.6479
5/1/2024
3.0757
3.0757
3.0757
5/1/2024
2.7216
2.7216
2.7216
5/1/2024
0.5828
0.5828
0.5828
5/1/2024
1.0648
1.0648
1.0648
5/1/2024
0.7053
0.7053
0.7053
5/1/2024
0.6905
0.6905
0.6905
5/1/2024
0.589
0.589
0.589
5/1/2024
0.6437
0.6437
0.6437
Not found

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