PB Bond Fund (PBBOND)

NAV
1.0378
as of 26 Mar 2015
Day change
0.02%
0.0002
Information
52-week range 1.0154 - 1.0497
Volatility 3.38%
Date NAV
26/03/2015 1.0378
25/03/2015 1.0376
24/03/2015 1.0374
23/03/2015 1.0371
20/03/2015 1.0367
200-days Price chart. Please enable Javascript to view the chart
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