Singapore Index Fund reports NAV per unit 4.5724 as of 27 February 2026 not estimated

Reuters
Yesterday
<a href="https://laohu8.com/S/S45U.SI">Singapore Index Fund</a> reports NAV per unit 4.5724 as of 27 February 2026 not estimated

Singapore Index Fund reported a net asset value of $4.5724 per unit as of 27 February 2026, with 13,791,737 units in issue. The NAV was not stated as estimated.

Disclaimer: This news brief was created by Public Technologies (PUBT) using generative artificial intelligence. While PUBT strives to provide accurate and timely information, this AI-generated content is for informational purposes only and should not be interpreted as financial, investment, or legal advice. Singapore Index Fund published the original content used to generate this news brief via Singapore Exchange Limited (SGX) (Ref. ID: U221IN47MCHATVUA) on March 02, 2026, and is solely responsible for the information contained therein.

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