Mandatory Provident Fund

Constituent Fund Info / Price History

Guaranteed Fund (GUAF)

Pages

  • Page 1 of 67
Valuation Date
(MM/DD/YYYY)
Unit Price
(HKD)
09/22/20239.7033
09/21/20239.6788
09/20/20239.7557
09/19/20239.7617
09/18/20239.7727
09/15/20239.7957
09/14/20239.8169
09/13/20239.7974
09/12/20239.8034
09/11/20239.8247
09/07/20239.8180
09/06/20239.8341
09/05/20239.8451
09/04/20239.9072
08/31/20239.9158
08/30/20239.9269
08/29/20239.8972
08/28/20239.8318
08/25/20239.7938
08/24/20239.8353
08/23/20239.8362
08/22/20239.7757
08/21/20239.7511
08/18/20239.7894
08/17/20239.8005
08/16/20239.8269
08/15/20239.8635
08/14/20239.8847
08/11/20239.9334
08/10/20239.9956
08/09/20239.9965
08/08/20239.9821
08/07/20239.9983
08/04/202310.0162
08/03/20239.9607
08/02/20239.9924
08/01/202310.0594
07/31/202310.1111
07/28/202310.1088
07/27/202310.0791
07/26/202310.0902
07/25/202310.0962
07/24/202310.0512
07/21/202310.0743
07/20/202310.0855
07/19/202310.1221
07/18/202310.1333
07/14/202310.1369
07/13/202310.1429
07/12/202310.0521

Our website uses cookies to give you the best user experience. By continuing to browse the site, you are agreeing to our privacy policy. For details, please browse the relevant information in our website.

Accept & CloseX