Last : 0.9044
78,733.64
The Fund aims to maximise total return by investing in one target fund.
Fund Legal Name | RHB China Bond Fund |
ISIN | MYU9900AK009 |
Currency | MYR |
AMC Name | RHB Asset Management Sdn Bhd |
Morningstar Rating | -- |
1D Change % | 0.28 % (09 Oct 2025) |
1M % | 0.90 % (09 Oct 2025) |
3M % | 2.42 % (09 Oct 2025) |
6M % | 0.96 % (09 Oct 2025) |
1Y % | 2.27 % (09 Oct 2025) |
3Y % Annualised | 0.83 % (09 Oct 2025) |
3Y % Cumulative | 2.52 % (09 Oct 2025) |
5Y % Annualised | 0.07 % (09 Oct 2025) |
5Y % Cumulative | 0.36 % (09 Oct 2025) |
Last Dividend | 0.0120 (25 Aug 2025) |