Singapore Index Fund reports NAV per unit S$4 436 as of 05 March 2026 not estimated

Reuters
Yesterday
<a href="https://laohu8.com/S/S45U.SI">Singapore Index Fund</a> reports NAV per unit S$4 436 as of 05 March 2026 not estimated

Singapore Index Fund reported a net asset value per unit of S$4.436 as of 05 March 2026, with 13,791,737 units in issue. The NAV is not stated as estimated.

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