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1. This website provides general information only and does not have regard to any specific investment objective, financial situation, or any particular need. It does not constitute the recommendation to buy or sell. 2. Investment in unit trusts is not a deposit of money and as such may be subject to certain risks. The amount of return to be received by investors may either be more or less than that of the money in which the investors initially invested. 3. Any potential investors should diligently study the Master Prospectuses, Prospectuses and Supplemental Prospectuses (if applicable) prior to their purchase of units and should also keep such information as future reference. Investors should consider the fees and charges involved before investing. 4. Master Prospectuses, Prospectuses and Supplemental Prospectuses (if applicable) are obtainable at our offices. They have been registered by and lodged with the Securities Commission, who however, does not take responsibility for their contents. 5. Where applicable no units will be issued or sold on the basis of the electronic prospectuses after the closing date, after which, the circulation of the electronic prospectuses is for information purposes only. 6. Unit transactions cannot be made through the website. Units will only be issued when we receive the official application form referred to and accompanying the prospectus. Our unit trust funds are only available in Malaysia only. 7. Past performance of the fund is not indicative of future performance. The prices and distributions payable, if any, may go down as well as up. 8. Where a unit spilt/distribution is declared, investors are advised that following the issue of additional units/distribution, the net asset value per unit will be reduced from pre-unit split NAV/cum-distribution NAV to post-unit split NAV/ex-distribution NAV. After a unit split is declared, investors should be highlighted of the fact that the value of their investment in Malaysian ringgit will remain unchanged after the distribution of the additional units. 9. Investors are advised to request and view the FiMM authorization card of the unit trust consultants promoting a unit trust fund to ensure that the consultant is authorized to deal in unit trust. 10. Information disseminated on this website was prepared by the Company solely for use by prospective investors as preliminary information in connection with the fund. The Company makes no representation or warranty as to the accuracy or completeness of the information contained therein. The Company is not rendering professional advice or opinions and as such both the Company and its staff is not liable whatsoever for loss directly or indirectly caused by any actions or inactions of persons relying on the information in this website. Investors are advised to make their own assessment on the relevance and accuracy of the information contained in this website. 11. Manulife Unit Trusts Berhad is responsible for posting the electronic prospectuses and electronic application forms contained within this website. 12. The Company reserves the right to amend, modify or change any information on this website without advance notice.
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