Amanah Saham Nasional Berhad (ASNB) - Daily Pricing
FUND
NAV (RM)
Historical Pricing (Fixed Price Funds)
ASB
1.0000
ASB 2
1.0000
ASM
1.0000
ASM 2 Wawasan
1.0000
ASB 3 Didik
1.0000
ASM 3
1.0000
Forward Pricing (Variable Price Funds)
ASN
0.6684
ASN Equity 2
0.4578
ASN Equity 3
0.9373
ASN Equity 5
1.0528
ASN Equity Global
1.0214
ASN Imbang 1
1.0368
ASN Imbang 2
0.9757
ASN Imbang 3 Global
1.0251
ASN Sara 1
1.0820
ASN Sara 2
0.9758
ASN Sukuk
1.0352
ASN Equity Malaysia
1.3152
Fixed Price Funds
For Fixed Price Funds, Units of the Funds are transacted at all fixed price of RM1.00 a Unit. As such, it is not necessary to value the Units on each Business Day.
Variable Price Funds
The price per unit is determined through forward pricing, wherein the valuation of the Fund's Net Asset Value (NAV) is conducted after 5:00 p.m. on the following business day (T+1) to accommodate the different time zones of foreign markets. The daily NAV will be published two (2) business days later (T+2).
If an application for purchase or redemption is received by the Manager before the cut-off time of 4:00 p.m. on any business day, such as Tuesday, then the unit pricing for Tuesday will be calculated after 5:00 p.m. on Wednesday (provided Wednesday is a business day). Tuesday's unit pricing will be published on Thursday (T+2)
Sales charges are applicable for all subscriptions of Variable Price Funds. All fees and charges are subject to Tax and/or duties as may be imposed by the government or other authorities (if any) from time to time.
Note: Starting February 1, 2024, the NAV per unit and transactions for all ASNB variable price funds are based on forward pricing
ASN Equity Malaysia is only available for subscription via Ria (Robo Investment Advisor).