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Unit Trust Prices
   
   
  Unit Trust Prices
  Manager’s price for : 07 January 2009
 
Funds NAV (RM) Per Unit
AmTotal Return -
AmIttikal 0.4496
AmDynamic Bond 0.5738
AmIslamic Balanced 0.2196
AmBalanced 0.6507
AmConservative 0.4555
AmIslamic Growth 0.2067
AmEmerging Markets Bond* 0.8981
AmCash Management** 1.0000
AmDividend Income 0.1761
AmIncome Extra 1.0000
AmGlobal Property Equities Fund* 0.5182
AmOasis Global Islamic Equity* 0.7265
AmIncome Advantage 1.0631
AmIncome Reward 1.0794
AmAsia-Pacific Property Equities* 0.5544
AmSchroder European Equity Alpha* 0.5960
AmIncome Premium 1.0861
AmAsian Income* 0.6885
AmGlobal Bond* 0.9988
AmMulti Assets - Capital Guaranteed* 0.9793
AmPan European Property Equities* 0.3119
AmGlobal Agribusiness* 0.5651
AmAsian Currencies - Capital Protected* 0.9979
AmGlobal Enhanced Equity Yield* 0.5369
AmDual Opportunities - Capital Protected* 1.0684
AmGlobal Climate Change* 0.6339
AmPrecious Metals* 0.7105
AmGlobal Currencies - Capital Protected* 1.0025
AmGlobal Emerging Market Opportunities* 0.7005
AmCommodities Extra 0.8670
Am-Namaa Asia-Pacific Equity Growth* USD10.1385
Namaa Asia-Pacific Equity Growth* 0.5101
AmCommodities Active - Capital Protected* 0.9890
AmStaples* 1.0000
AmCash 30* 1.0000
AmCumulative Growth* 0.5006
AmNew Frontier 0.5057
AmIncome Plus 1.1820
AmBond 1.0673
AmBon Islam 1.0867
AmIncome** 1.0000
AmAl-Amin** 1.0000
  * Price of 2 preceeding business days
   
  **Rolling Weekly Yield
  Ended: 06 January 2009
 
Rolling Weekly Yield Percentage
AmIncome 3.00 %
AmAl-Amin 2.89 %
AmCash Management 2.17 %
 
   
  Unit Trust Index/Rates
  Index as at close of: 05 January 2009
 
Benchmark Index / Rate (%)
MSCI Emerging Markets Index
(Benchmark for AmGlobal Emerging Market Opportunities)
2,094.79
JP Morgan GBI-EM Global Diversified in USD
(Benchmark for AmEmerging Markets Bond)
693.56
EPRA/NAREIT Global Total Return Index
(Benchmark for AmGlobal Property Equities Fund)
6,150.53
Dow Jones Islamic Market Index
(Benchmark for AmOasis Global Islamic Equity)
5,271.78
FTSE EPRA/NAREIT Pure Asia Index(in RM)
(Benchmark for AmAsia-Pacific Property Equities)
5,476.81
MSCI Europe NET (Total Return) Index
(Benchmark for AmSchroder European Equity Alpha)
353.29
100% HSBC Asian US Dollar Bond Index
(Benchmark for AmAsian Income)
736.30
JP Morgan Government Bond Index Global
(Benchmark for AmGlobal Bond)
1,546.01
Malayan Banking Berhad 1 year Fixed Deposit Rate as at 1 March 2007
(Benchmark for AmMulti Assets – Capital Guaranteed )
3.70 % p.a
EPRA-Index (UK Restricted)
(Benchmark for AmPan European Property Equities)
6,625.89
MSCI All Countries World Index
(Benchmark for AmGlobal Agribusiness, AmGlobal Enhanced Equity Yield and AmGlobal Climate Change)
820.16
Malayan Banking Berhad 1 year Fixed Deposit Rate as at 23 July 2007
(Benchmark for AmAsian Currencies Capital Protected )
3.70 % p.a
Malayan Banking Berhad 1 year Fixed Deposit Rate as at 11 October 2007
(Benchmark for AmDual Opportunities – Capital Protected )
3.70 % p.a
FTSE Gold Mines Index
(Benchmark for AmPrecious Metals)
7,935.72
Malayan Banking Berhad 1 year Fixed Deposit Rate as at 12 March 2008
(Benchmark for AmGlobal Currencies - Capital Protected)
3.70 % p.a
DJIM Asia Pacific (ex-Japan)
(Benchmark for Namaa’ Asia-Pacific Equity Growth)
2,780.51
75% S&P GSCI Index Spot
(Benchmark for AmCommodities Extra)
1,298.72
25% MSCI World Index
(Benchmark for AmCommodities Extra)
820.16
DJIM Asia Pacific (ex-Japan)(USD)
(Benchmark for Am-Namaa’ Asia-Pacific Equity Growth)
795.00
50% Bursa Malaysia Kuala Lumpur Composite Index
(Benchmark for AmCumulative Growth)
920.66
50% MSCI Far East ex-Japan Composite Index
(Benchmark for AmCumulative Growth)
1,004.13
RHB Technology Index
(Benchmark for AmNew Frontier)
122.05
Bursa Malaysia Kuala Lumpur Composite Index
(Benchmark for AmDividend Income)
920.66
Malayan Banking Berhad 1 year Fixed Deposit Rate as at 3 November 2008
(Benchmark for AmCommodities Active – Capital Protected)
3.70 % p.a
 
   
 
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