Asset Class
Fund Name
Fund | Fund Name | Remarks | Asset Class | NAV | % Change (+/-) | NAV Date |
---|---|---|---|---|---|---|
AITF | Areca incomeTRUST Fund | Fixed Income | MYR 0.6608 | -0.02% (-0.0001) | 01 Aug 2025 | |
AETF | Areca equityTRUST Fund | Equity | MYR 0.5380 | +0.99% (0.0053) | 01 Aug 2025 | |
AMTF | Areca moneyTRUST Fund | Money Market | MYR 0.5465 | 0% (0) | 01 Aug 2025 | |
AEIF | Areca enhancedINCOME Fund | Mixed Asset | MYR 0.6502 | +0.31% (0.002) | 01 Aug 2025 | |
ASFIF | Areca Steady fixedINCOME Fund | Fixed Income | MYR 1.2848 | -0.57% (-0.0074) | 01 Aug 2025 | |
AFFIF | Areca Flexi fixedINCOME Fund | Fixed Income | MYR 1.3208 | -0.53% (-0.007) | 01 Aug 2025 | |
AICF | Areca Islamic Cash Fund | Fixed Income | MYR 1.1048 | 0% (0) | 01 Aug 2025 | |
ADIF | Areca Dividend Income Fund | Equity | MYR 1.3565 | +0.78% (0.0105) | 01 Aug 2025 | |
ASIF2 | Areca Situational Income 2.0 Fund | Fixed Income | MYR 1.0266 | -0.01% (-0.0001) | 01 Aug 2025 | |
APIF | Areca Progressive Income Fund | Fixed Income | MYR 1.0094 | 0% (0) | 01 Aug 2025 | |
ADGF2 | Areca Dynamic Growth Fund 2.0 | Equity | MYR 1.5811 | +0.65% (0.0102) | 01 Aug 2025 | |
ADGF3 | Areca Dynamic Growth Fund 3.0 | ** | Equity | MYR 0.1812 | +0.83% (0.0015) | 01 Aug 2025 |
ASTIF2 | Areca Strategic Income Fund 2.0 | Fixed Income | MYR 1.0088 | +0.02% (0.0002) | 01 Aug 2025 | |
APIF3 | Areca Progressive Income Fund 3.0 | Fixed Income | MYR 1.0445 | 0% (0) | 01 Aug 2025 | |
APIF4 | Areca Progressive Income Fund 4.0 | Fixed Income | MYR 0.8109 | -10.43% (-0.0944) | 01 Aug 2025 | |
ASTIF5 | Areca Strategic Income Fund 5.0 | Fixed Income | MYR 1.0114 | +0.03% (0.0003) | 01 Aug 2025 | |
AFLF | Areca Focus Leverage Fund | ** | Equity | MYR 1.3688 | -0.36% (-0.005) | 01 Aug 2025 |
ADRTF | Areca Dragon Technology Fund-MYR | ** | Equity | MYR 0.6058 | -0.41% (-0.0025) | 01 Aug 2025 |
ADRTU | Areca Dragon Technology Fund-USD | ** | Equity | USD 0.5876 | -0.58% (-0.0034) | 01 Aug 2025 |
APIF6 | Areca Progressive Income Fund 6.0 | Fixed Income | MYR 0.9547 | 0% (0) | 01 Aug 2025 | |
AFUFM | Areca Focus UniGrowth Fund-MYR | ** | Equity | MYR 0.4345 | -1.61% (-0.0071) | 01 Aug 2025 |
AFUFU | Areca Focus UniGrowth Fund-USD | ** | Equity | USD 0.4301 | -1.76% (-0.0077) | 01 Aug 2025 |
ASTIF7 | Areca Strategic Income Fund 7.0 | Equity | MYR 0.3054 | +0.10% (0.0003) | 01 Aug 2025 | |
AEGF | Areca Equity Growth Fund | Equity | MYR 0.7866 | +1.41% (0.0109) | 01 Aug 2025 | |
ADGF5 | Areca Dynamic Growth Fund 5.0 | ** | Equity | MYR 0.4888 | -2.34% (-0.0117) | 01 Aug 2025 |
ADGF6 | Areca Dynamic Growth Fund 6.0 | Equity | MYR 1.8649 | +1.93% (0.0354) | 01 Aug 2025 | |
ADGF8 | Areca Dynamic Growth Fund 8.0 | ** | Equity | MYR 0.3790 | +0.85% (0.0032) | 01 Aug 2025 |
ADGF9 | Areca Dynamic Growth Fund 9.0 | Equity | MYR 1.0944 | +0.01% (0.0001) | 01 Aug 2025 | |
ADGF10 | Areca Dynamic Growth Fund 10.0 | Equity | MYR 0.6429 | -0.02% (-0.0001) | 01 Aug 2025 | |
AUSDDAR | Areca USD Dynamic Assets Fund-MYR | ** | Equity | MYR 1.3576 | -0.67% (-0.0092) | 01 Aug 2025 |
AUSDDAS | Areca USD Dynamic Assets Fund-SGD | ** | Equity | SGD 1.0000 | 0% (0) | 01 Aug 2025 |
AUSDDAU | Areca USD Dynamic Assets Fund-USD | ** | Equity | USD 1.0000 | 0% (0) | 01 Aug 2025 |
AREITRM | Areca REIT Leverage Fund-MYR | ** | Equity | MYR 0.9347 | -0.64% (-0.006) | 01 Aug 2025 |
AREITSG | Areca REIT Leverage Fund-SGD | ** | Equity | SGD 0.8807 | -0.77% (-0.0068) | 01 Aug 2025 |
AVF | Areca Value Fund | ** | Equity | MYR 0.5567 | -0.94% (-0.0053) | 01 Aug 2025 |
AGEMRM | Areca Global Emerging Momentum Fund 2-MYR | Equity | MYR 1.2136 | -0.24% (-0.0029) | 01 Aug 2025 | |
AGEMUS | Areca Global Emerging Momentum Fund 2-USD | Equity | USD 1.0000 | 0% (0) | 01 Aug 2025 | |
AIETF | Areca Islamic equityTRUST Fund | Equity | MYR 0.5023 | +0.92% (0.0046) | 01 Aug 2025 | |
AFLF2R | Areca Focus Leverage Fund 2-MYR | Fixed Income | MYR 1.1211 | +0.01% (0.0001) | 01 Aug 2025 | |
AFLF2H | Areca Focus Leverage Fund 2-HKD | Fixed Income | HKD 1.0000 | 0% (0) | 01 Aug 2025 | |
AFLF2U | Areca Focus Leverage Fund 2-USD | Fixed Income | USD 1.0000 | 0% (0) | 01 Aug 2025 | |
ASTIF8 | Areca Strategic Income Fund 8.0 | Fixed Income | MYR 1.0807 | +0.02% (0.0002) | 01 Aug 2025 | |
AIITF | Areca Islamic incomeTRUST Fund | Fixed Income | MYR 0.5364 | 0% (0) | 01 Aug 2025 | |
ASTIF9 | Areca Strategic Income Fund 9.0 | Fixed Income | MYR 1.0359 | +0.01% (0.0001) | 01 Aug 2025 | |
ASTIF 11 | Areca Strategic Income Fund 11 | Fixed Income | MYR 0.8375 | 0% (0) | 01 Aug 2025 | |
AAAF | Areca Aggressive Alpha Fund | Equity | MYR 0.7520 | +0.13% (0.001) | 01 Aug 2025 | |
ACASAF | Areca China A-Share Alpha Fund | ** | Equity | MYR 1.1302 | -1.02% (-0.0116) | 31 Jul 2025 |
AGEMF-RM | Areca Global Emerging Momentum Fund 3 - MYR | ** | Equity | MYR 0.6985 | +0.62% (0.0043) | 01 Aug 2025 |
AGEMF-USD | Areca Global Emerging Momentum Fund 3 - USD | ** | Equity | USD 1.0000 | 0% (0) | 01 Aug 2025 |
APWF-RM | Areca Premier Wealth Fund-MYR | ** | Equity | MYR 0.9398 | -0.95% (-0.009) | 01 Aug 2025 |
APWF-SGD | Areca Premier Wealth Fund-SGD | ** | Equity | SGD 0.9611 | -1.00% (-0.0097) | 01 Aug 2025 |
APWF-USD | Areca Premier Wealth Fund-USD | ** | Equity | USD 1.0000 | 0% (0) | 01 Aug 2025 |
ADGF11 | Areca Dynamic Growth Fund 11 | Equity | MYR 1.0624 | +0.02% (0.0002) | 01 Aug 2025 |
Fund NAV | % Change (+/-) | NAV Date |
---|---|---|
AITF MYR 0.6608 | -0.02% (-0.0001) | 01 Aug 2025 |
AETF MYR 0.5380 | +0.99% (0.0053) | 01 Aug 2025 |
AMTF MYR 0.5465 | 0% (0) | 01 Aug 2025 |
AEIF MYR 0.6502 | +0.31% (0.002) | 01 Aug 2025 |
ASFIF MYR 1.2848 | -0.57% (-0.0074) | 01 Aug 2025 |
AFFIF MYR 1.3208 | -0.53% (-0.007) | 01 Aug 2025 |
AICF MYR 1.1048 | 0% (0) | 01 Aug 2025 |
ADIF MYR 1.3565 | +0.78% (0.0105) | 01 Aug 2025 |
ASIF2 MYR 1.0266 | -0.01% (-0.0001) | 01 Aug 2025 |
APIF MYR 1.0094 | 0% (0) | 01 Aug 2025 |
ADGF2 MYR 1.5811 | +0.65% (0.0102) | 01 Aug 2025 |
ADGF3** MYR 0.1812 | +0.83% (0.0015) | 01 Aug 2025 |
ASTIF2 MYR 1.0088 | +0.02% (0.0002) | 01 Aug 2025 |
APIF3 MYR 1.0445 | 0% (0) | 01 Aug 2025 |
APIF4 MYR 0.8109 | -10.43% (-0.0944) | 01 Aug 2025 |
ASTIF5 MYR 1.0114 | +0.03% (0.0003) | 01 Aug 2025 |
AFLF** MYR 1.3688 | -0.36% (-0.005) | 01 Aug 2025 |
ADRTF** MYR 0.6058 | -0.41% (-0.0025) | 01 Aug 2025 |
ADRTU** USD 0.5876 | -0.58% (-0.0034) | 01 Aug 2025 |
APIF6 MYR 0.9547 | 0% (0) | 01 Aug 2025 |
AFUFM** MYR 0.4345 | -1.61% (-0.0071) | 01 Aug 2025 |
AFUFU** USD 0.4301 | -1.76% (-0.0077) | 01 Aug 2025 |
ASTIF7 MYR 0.3054 | +0.10% (0.0003) | 01 Aug 2025 |
AEGF MYR 0.7866 | +1.41% (0.0109) | 01 Aug 2025 |
ADGF5** MYR 0.4888 | -2.34% (-0.0117) | 01 Aug 2025 |
ADGF6 MYR 1.8649 | +1.93% (0.0354) | 01 Aug 2025 |
ADGF8** MYR 0.3790 | +0.85% (0.0032) | 01 Aug 2025 |
ADGF9 MYR 1.0944 | +0.01% (0.0001) | 01 Aug 2025 |
ADGF10 MYR 0.6429 | -0.02% (-0.0001) | 01 Aug 2025 |
AUSDDAR** MYR 1.3576 | -0.67% (-0.0092) | 01 Aug 2025 |
AUSDDAS** SGD 1.0000 | 0% (0) | 01 Aug 2025 |
AUSDDAU** USD 1.0000 | 0% (0) | 01 Aug 2025 |
AREITRM** MYR 0.9347 | -0.64% (-0.006) | 01 Aug 2025 |
AREITSG** SGD 0.8807 | -0.77% (-0.0068) | 01 Aug 2025 |
AVF** MYR 0.5567 | -0.94% (-0.0053) | 01 Aug 2025 |
AGEMRM MYR 1.2136 | -0.24% (-0.0029) | 01 Aug 2025 |
AGEMUS USD 1.0000 | 0% (0) | 01 Aug 2025 |
AIETF MYR 0.5023 | +0.92% (0.0046) | 01 Aug 2025 |
AFLF2R MYR 1.1211 | +0.01% (0.0001) | 01 Aug 2025 |
AFLF2H HKD 1.0000 | 0% (0) | 01 Aug 2025 |
AFLF2U USD 1.0000 | 0% (0) | 01 Aug 2025 |
ASTIF8 MYR 1.0807 | +0.02% (0.0002) | 01 Aug 2025 |
AIITF MYR 0.5364 | 0% (0) | 01 Aug 2025 |
ASTIF9 MYR 1.0359 | +0.01% (0.0001) | 01 Aug 2025 |
ASTIF 11 MYR 0.8375 | 0% (0) | 01 Aug 2025 |
AAAF MYR 0.7520 | +0.13% (0.001) | 01 Aug 2025 |
ACASAF** MYR 1.1302 | -1.02% (-0.0116) | 31 Jul 2025 |
AGEMF-RM** MYR 0.6985 | +0.62% (0.0043) | 01 Aug 2025 |
AGEMF-USD** USD 1.0000 | 0% (0) | 01 Aug 2025 |
APWF-RM** MYR 0.9398 | -0.95% (-0.009) | 01 Aug 2025 |
APWF-SGD** SGD 0.9611 | -1.00% (-0.0097) | 01 Aug 2025 |
APWF-USD** USD 1.0000 | 0% (0) | 01 Aug 2025 |
ADGF11 MYR 1.0624 | +0.02% (0.0002) | 01 Aug 2025 |
* - Income Distribution/Unit Split.
** - The daily prices of funds will be updated on the following Business Day.
^ - Income Distribution/Unit Split & daily prices of funds will be updated on the following Business Day.
Code | Name | Rate/Returns (%) | Date | |
---|---|---|---|---|
M 1M | Maybank 1-month money market repo rate | 1.9000 | 0 | 01 Aug 2025 |
FD 6M | Maybank 6-month fixed deposit rate | 2.8000 | 0 | 01 Aug 2025 |
FD 12M | Maybank 12-month fixed deposit rate | 2.8000 | 0 | 01 Aug 2025 |