www.acledasecurities.com.kh

navigate_nextList Fund Data

List Fund Data

BAEF Fund Name: 
Fund Full Name Fund name Currency NAV Date NAV NAV Change %NAV Change
BAMC Asia Equity Fund BAEF USD 20/07/2026 135.57 0.77 0.57
Period:     -     
Date NAV NAV Change %NAV Change
20/07/2026 135.57 0.77 0.57
17/07/2026 134.80 2.76 2.01
16/07/2026 137.56 2.46 1.76
15/07/2026 140.02 0.95 0.68
14/07/2026 139.07 1.61 1.17
13/07/2026 137.46 3.35 2.38
10/07/2026 140.81 0.50 0.35
09/07/2026 141.31 2.27 1.63
08/07/2026 139.04 0.56 0.4
07/07/2026 139.60 3.57 2.49
06/07/2026 143.17 1.57 1.11
03/07/2026 141.60 2.16 1.55
02/07/2026 139.44 3.13 2.2
01/07/2026 142.57 2.85 1.96
30/06/2026 145.42 1.74 1.21
29/06/2026 143.68 1.13 0.79
26/06/2026 142.55 3.12 2.14
25/06/2026 145.67 1.04 0.72
24/06/2026 144.63 0.98 0.68
23/06/2026 143.65 6.98 4.63
Site Map Newsletter Legal Notice
Online Visitors: 4 Today​ Visitors: 863 Yesterday Visitors: 1,206