MANULIFE WORLDWIDE  
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Current Prices
 
Fund Name
NAV
Offer
Bid
Offer (Switching)
Bid (Switching)
Asset Size
Valuation Date
Equity Fund(s)
Manulife Strength-Equity Value Fund 16.7933 16.8774 16.7513 16.8774 16.7513 289,365,191.76 02/02/2012
Manulife Strength-Core Equity Fund 17.6868 17.7311 17.6426 17.7311 17.6426 287,628,255.31 02/02/2012
Manulife Strength-Equity Dividend Fund* 11.1300 11.1579 11.1022 11.1579 11.1022 113,975,925.75 02/02/2012
 
Fixed Income Fund (s)
Manulife Strength-Income Fund 10.4583 10.4584 10.4583 10.4584 10.4583 42,467,986.59 02/02/2012
 
Foreign Investment Fund(s)
Manulife Strength-China Value Foreign Investment Fund 9.3728 9.5604 9.3259 9.5604 9.3259 774,065,287.19 02/02/2012
Manulife Strength-Emerging Eastern Europe FIF 6.2165 6.3409 6.1854 6.3409 6.1854 189,977,080.48 02/02/2012
Manulife Strength-Global Resources FIF 6.7101 6.8444 6.6765 6.8444 6.6765 34,666,832.83 02/02/2012
 
Fund(s) with Tax Benefits
Manulife Strength-Core Long-term Equity Fund 17.7342 17.7343 17.6899 17.7343 17.7342 216,740,568.82 02/02/2012
Manulife Strength-Flexible Retirement Mutual Fund 15.2096 15.2097 15.2096 15.2097 15.2096 16,155,944.77 02/02/2012
 
 
* Dividend 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
 
The fund performance document is prepared in accordance with the Association of Investment Management Companies (AIMC) standards.
Investment in mutual fund contains certain risk. Past Performance is not a guarantee of future results. Please read the prospectus before investing.
 
 
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