Singapore Index Fund NAV per unit S$ 5.31 Sept. 18
Singapore Index Fund reported a net asset value (NAV) per unit of S$ 5.31 as of September 18, 2026. The fund had 13,490,714 units in issue.
Singapore Index Fund reported a net asset value (NAV) per unit of S$ 5.31 as of September 18, 2026. The fund had 13,490,714 units in issue.