Provided by Tiger Trade Technology Pte. Ltd.

SingIndexFund

5.180
+0.0300.58%
Volume:5K
Turnover:26.01K
Market Cap:70.18M
PE:- -
High:5.230
Open:5.230
Low:5.180
Close:5.150
52wk High:5.370
52wk Low:3.660
Shares:13.55M
Float Shares:- -
Volume Ratio:6.25
T/O Rate:- -
Dividend:- -
Dividend Rate:- -
ROE:--
ROA:--
PB:--
PE(LYR):- -

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Singapore Index Fund NAV per unit at S$ 4.52 as of April 27, 2026

Reuters
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Apr 28

Singapore Index Fund NAV per unit at S$ 4.54 as of April 24, 2026

Reuters
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Apr 27

Singapore Index Fund NAV per unit at S$ 4.55 as of April 23, 2026

Reuters
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Apr 24

Singapore Index Fund NAV per unit at S$ 4.59 as of April 22, 2026

Reuters
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Apr 23

Singapore Index Fund NAV per unit for April 20 at S$ 4.6

Reuters
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Apr 21

Singapore Index Fund NAV per unit at S$ 4.59 as of April 17, 2026

Reuters
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Apr 20

Singapore Index Fund NAV per unit for April 16 stands at S$ 4.6

Reuters
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Apr 17

Singapore Index Fund NAV per unit at S$4.61 as of April 15, 2026

Reuters
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Apr 16

Singapore Index Fund NAV per unit at S$ 4.6 as of April 14, 2026

Reuters
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Apr 15

Singapore Index Fund NAV per unit stands at S$ 4.58 as of April 10, 2026

Reuters
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Apr 13

Singapore Index Fund NAV per unit stands at S$4.59 as of April 8, 2026

Reuters
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Apr 09

Singapore Index Fund NAV per unit at S$ 4.54 for April 7, 2026

Reuters
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Apr 08

Singapore Index Fund NAV per unit at reporting period end S$4.53

Reuters
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Apr 06

Singapore Index Fund NAV per unit at S$ 4.56 for April 1, 2026

Reuters
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Apr 02

Singapore Index Fund NAV per unit at end-March 2026 at S$4.49

Reuters
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Mar 31

Singapore Index Fund NAV per unit at S$4.49 as of March 27, 2026

Reuters
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Mar 30

Singapore Index Fund period ended 25 March 2026; NAV per unit rises to S$4.4943

Reuters
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Mar 26

Singapore Index Fund reports NAV per unit of SGD 4.43 for March 23, 2026

Reuters
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Mar 24

Singapore Index Fund reports NAV per unit of SGD 4.53 for period ended March 20, 2026

Reuters
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Mar 23

Singapore Index Fund posts NAV per unit of SGD 4.55 for 19 March 2026

Reuters
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Mar 20