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SingIndexFund

4.920
-0.180-3.53%
Volume:100
Turnover:492
Market Cap:65.86M
PE:- -
High:4.920
Open:4.920
Low:4.920
Close:5.100
52wk High:5.370
52wk Low:3.660
Shares:13.39M
Float Shares:- -
Volume Ratio:0.08
T/O Rate:- -
Dividend:- -
Dividend Rate:- -
ROE:--
ROA:--
PB:--
PE(LYR):- -

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Singapore Index Fund NAV Per Unit Stands at S$ 5.3817 as of Sept. 28, 2026

Reuters
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Sep 29

Singapore Index Fund NAV/unit at S$ 5.3655 as of Sept. 25, 2026

Reuters
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Sep 28

Singapore Index Fund NAV Per Unit Stands at S$ 5.36 as of Sept. 23, 2026

Reuters
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Sep 24

Singapore Index Fund NAV Per Unit is S$ 5.33 as of Sept. 21, 2026

Reuters
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Sep 22

Singapore Index Fund NAV Per Unit Stands at S$ 5.31 as of Sept. 18

Reuters
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Sep 21

Singapore Index Fund NAV Per Unit Stands at S$ 5.29 as of Sept. 16

Reuters
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Sep 17

Singapore Index Fund NAV Per Unit Stands at S$ 5.37 as of Sept. 14, 2026

Reuters
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Sep 15

Singapore Index Fund NAV Per Unit Stands at S$ 5.35 as of Sept. 11, 2026

Reuters
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Sep 14

Singapore Index Fund Amends Trust Deed to Add Electronic Transfers, Phase Out Cheques from Oct. 1, 2026

Reuters
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Sep 11

Singapore Consortium Investment Management Updates Singapore Index Fund Prospectus, Highlights Sheet```

Reuters
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Sep 11

Singapore Index Fund Issues Unitholder Letter for FY Ended June 30, 2026

Reuters
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Sep 11

Singapore Index Fund NAV Per Unit Stands at S$ 5.38 as of Sept. 9, 2026

Reuters
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Sep 10

Singapore Index Fund NAV Per Unit at S$ 5.44 as of Sept. 7, 2026

Reuters
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Sep 08

Singapore Index Fund NAV Per Unit Stands at S$ 5.45 as of Sept. 4

Reuters
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Sep 07

Singapore Index Fund NAV Per Unit Stands at S$ 5.4 as of Sept. 3, 2026

Reuters
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Sep 04

Singapore Index Fund NAV Per Unit Stands at S$ 5.4 as of Sept. 2, 2026

Reuters
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Sep 03

Singapore Index Fund NAV Per Unit Stands at S$ 5.47 as of Sept. 1, 2026

Reuters
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Sep 02

Singapore Index Fund NAV Per Unit at S$ 5.35 as of Aug. 28

Reuters
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Aug 31

Singapore Index Fund NAV Per Unit Stands at S$ 5.37 as of Aug. 26, 2026

Reuters
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Aug 27

Singapore Index Fund Reports NAV Per Unit of S$ 5.39 as of Aug. 25, 2026

Reuters
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Aug 26