Mandatory Provident Fund

Constituent Fund Info / Price History

Guaranteed Fund (GUAF)

Pages

  • Page 1 of 75
Valuation Date
(MM/DD/YYYY)
Unit Price
(HKD)
06/05/202510.6831
06/04/202510.6791
06/03/202510.6316
06/02/202510.6275
05/30/202510.6106
05/29/202510.6211
05/28/202510.5784
05/27/202510.6034
05/26/202510.5800
05/23/202510.5728
05/22/202510.5397
05/21/202510.5695
05/20/202510.5655
05/19/202510.5566
05/16/202510.5347
05/15/202510.5210
05/14/202510.5073
05/13/202510.4741
05/12/202510.4604
05/09/202510.4482
05/08/202510.4393
05/07/202510.4643
05/06/202510.4458
05/02/202510.4392
04/30/202510.4214
04/29/202510.4077
04/28/202510.3844
04/25/202510.3626
04/24/202510.3489
04/23/202510.3109
04/22/202510.2780
04/17/202510.2481
04/16/202510.2345
04/15/202510.2304
04/14/202510.2024
04/11/202510.1277
04/10/202510.0947
04/09/20259.9938
04/08/20259.9799
04/07/20259.9612
04/03/202510.3533
04/02/202510.3395
04/01/202510.3354
03/31/202510.2972
03/28/202510.3287
03/27/202510.3392
03/26/202510.3302
03/25/202510.3553
03/24/202510.3610
03/21/202510.3633

Our website uses cookies to give you the best user experience. By continuing to browse the site, you are agreeing to our privacy policy. For details, please browse the relevant information in our website.

Accept & CloseX