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     News and Announcement
 
   
 
   Current Prices
 
Fund Name
NAV
Offer
Bid
Offer (Switching)
Bid (Switching)
Asset Size
Valuation Date
Equity Fund(s)
Manulife Strength-Equity Value Fund 28.4054 28.5475 28.3344 28.5475 28.3344 55,149,940.22 17/05/2013
Manulife Strength-Core Equity Fund 28.2140 28.2846 28.1435 28.2846 28.1435 69,544,034.47 17/05/2013
Manulife Strength-Equity Dividend Fund1 12.5064 12.5378 12.4751 12.5378 12.4751 145,451,244.16 17/05/2013
 
Fixed Income Fund (s)
Manulife Strength-Money Market Fund2 10.7705 10.7706 10.7705 10.7706 10.7705 46,745,851.17 17/05/2013
 
Foreign Investment Fund(s)
Manulife Strength-China Value Foreign Investment Fund 9.7318 9.9265 9.6831 9.9265 9.6831 456,694,469.97 17/05/2013
Manulife Strength-Emerging Eastern Europe FIF 6.5539 6.6851 6.5211 6.6851 6.5211 62,542,587.72 17/05/2013
Manulife Strength-Asian Small Cap Equity FIF 14.5820 14.8008 14.5820 14.8008 14.5820 1,135,358,756.47 17/05/2013
Manulife Strength-American Growth FIF 10.8794 11.0427 10.8794 11.0427 10.8794 27,526,491.59 17/05/2013
 
Fund(s) with Tax Benefits
Manulife Strength-Core Long-term Equity Fund 28.6035 28.6036 28.5320 28.6036 28.6035 261,384,274.18 17/05/2013
Manulife Strength-Flexible Retirement Mutual Fund 19.5313 19.5314 19.5313 19.5314 19.5313 22,644,497.56 17/05/2013
 

¹Dividend Payment History
Fund Name
Number
XD Date
Payment Date
Dividend per unit (Baht)
Manulife Strength-Equity Dividend Fund 1 16/09/2009 23/09/2009 0.70
2 18/01/2010 25/01/2010 0.55
3 25/03/2010 01/04/2010 0.70
4 11/08/2010 20/08/2010 0.70
5 29/09/2010 07/10/2010 0.70
6 12/01/2011 20/01/2011 0.90
7 26/04/2011 06/05/2011 0.70
8 15/03/2012 22/03/2012 1.25
9 15/06/2012 22/06/2012 0.40
10 14/09/2012 21/09/2012 0.60
11 14/12/2012 21/12/2012 0.65
12 15/03/2013 22/03/2013 1.20
²Fund Name before changing is Manulife Strength-Income Fund
 
Past performance is not a guarantee of future results.
Investment in mutual fund contains certain risk. Investors should read and study prospectuses before making a decision to invest.
The value of investment units may go down as well as up due to exchange rate fluctuation and investors may not get back their original investment.
 
Remark: In case of the holidays of FIFs’ Master Funds, the current prices show the prices on the latest transaction date.


Remark:
The NAV of Local Funds and Foreign Investment Funds (FIFs) (on T) will be announced through website by 10.00 a.m. and 13.00 p.m. on the next business day (on T+1) respectively.

If you would like to receive the NAV of Local Funds at the end of the business day (on T) via e-mail on a daily basis, please call the marketing department at Tel. 0-2354-1001.
 
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