Mandatory Provident Fund

Constituent Fund Info / Price History

Guaranteed Fund (GUAF)

Pages

  • Page 1 of 73
Valuation Date
(MM/DD/YYYY)
Unit Price
(HKD)
01/13/20259.9279
01/10/20259.9692
01/09/202510.0285
01/08/202510.0342
01/07/202510.0692
01/06/202510.0940
01/03/202510.0818
01/02/202510.0826
12/31/202410.1135
12/30/202410.1187
12/27/202410.1259
12/24/202410.1282
12/23/202410.1143
12/20/202410.1215
12/19/202410.1076
12/18/202410.1869
12/17/202410.2220
12/16/202410.2424
12/13/202410.2595
12/12/202410.3192
12/11/202410.3347
12/10/202410.3404
12/09/202410.3951
12/06/202410.3682
12/05/202410.3544
12/04/202410.3552
12/03/202410.3413
12/02/202410.3127
11/29/202410.3150
11/28/202410.2766
11/27/202410.2774
11/26/202410.2193
11/25/202410.2250
11/22/202410.1733
11/21/202410.2035
11/20/202410.1994
11/19/202410.2297
11/18/202410.2009
11/15/202410.1885
11/14/202410.2040
11/13/202410.2392
11/12/202410.2597
11/11/202410.3394
11/08/202410.3615
11/07/202410.3869
11/06/202410.2985
11/05/202410.3685
11/04/202410.3349
11/01/202410.2980
10/31/202410.2988

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