Public Islamic Select Bond Fund (PISBF)

NAV
1.0437
as of 17 May 2013
Day change
0.02%
0.0002
Information
52-week range 1.0148 - 1.0647
Volatility 4.92%
Date NAV
17/05/2013 1.0437
16/05/2013 1.0435
15/05/2013 1.0432
14/05/2013 1.0428
13/05/2013 1.0425
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