Inscrivez-vous pour créer des alertes relatives aux instruments,
aux événements économiques et au contenu publié par vos auteurs préférés
Inscription gratuite Vous avez déjà un compte ? Connexion
Merci d'essayer une autre recherche
Chercher Fonds
Pays d'émission:
Emetteur:
Rating de Morningstar:
Profil de risque:
Catégorie d'actif:
Catégorie:
Nom | Symbole | Dernier | Var. % | Actif total | Heures | ||
---|---|---|---|---|---|---|---|
ONE Ultimate Global Growth Fund | ONE-UGG | 27,608 | +0,12% | 8,78B | 20/05 | ||
1 A.M. Selective Growth Long Term Equity Fund | 1SG-LTF | 32,382 | -0,46% | 723,14M | 21/05 | ||
Valued Stock Retirement Mutual Fund | V-RMF | 76,386 | -0,62% | 618,45M | 21/05 | ||
One Equity Fund Corporate 14 | ONE-EC. | 7,845 | -0,52% | 107,73M | 21/05 | ||
ONE GLOBAL FINANCIAL FUND RA | 0P0001. | 13,301 | -0,16% | 334,13M | 20/05 | ||
ONE Fixed Income Dividend Fund | ONE-DI | 10,867 | -0,03% | 304,6M | 21/05 | ||
1 A.M. Selective Long Term Equity Fund | 1S-LTF | 19,264 | -0,46% | 288,75M | 21/05 | ||
1 A.M. Flexible Automatic Redemption Fund | FLEXAR | 30,475 | -0,44% | 283,51M | 21/05 | ||
1 A.M. Thai Government Bond Fund | 1AM-TG | 12,391 | 0,00% | 280,63M | 21/05 | ||
ONE ULTRA INCOME FUND | ONE-UL. | 8,732 | 0,01% | 270,44M | 20/05 | ||
1 A.M. Value Stock Fund - Dividend | 1VAL-D | 11,956 | -0,63% | 264,73M | 21/05 | ||
Flexible Plus Retirement Mutual Fund | FLEX-R. | 23,026 | -0,43% | 206,4M | 21/05 | ||
Flexible Corporate Fund | FCF | 15,207 | -0,28% | 203,47M | 21/05 | ||
ONE Fixed Income Automatic Redemption Fund | ONE-FAR | 26,645 | -0,02% | 205,12M | 21/05 | ||
Fixed Income Plus Retirement Mutual Fund | F-RMF | 16,257 | -0,02% | 131,14M | 21/05 | ||
ONE Property Singapore Fund | ONEPRO. | 11,619 | -0,12% | 89,56M | 17/05 | ||
ONE Plus One Fund | ONE+1 | 8,519 | -0,41% | 101,25M | 21/05 | ||
Thana One Fund | THANA1 | 9,953 | -0,46% | 99,8M | 21/05 | ||
One Anti-Corruption Fund | ONE-ACT | 7,357 | -0,29% | 91,39M | 21/05 | ||
1 A.M. US Recovery Opportunity Fund | 1US-OPP | 19,716 | -0,14% | 76,62M | 20/05 |