K-AB22A |
K Fixed Income AB 2022A Fund |
|
22/09/2023 |
9.4621 |
-0.0002 | 0.0021 % |
N/A |
9.4621 |
1,051,663,180.30 |
|
|
K-AB22B |
K Fixed Income AB 2022B Fund |
|
22/09/2023 |
9.2875 |
-0.0002 | 0.0022 % |
N/A |
9.2875 |
405,936,545.66 |
|
|
K-AFIXED |
K Asia Fixed Income Fund |
|
21/09/2023 |
9.9974 |
-0.0094 | 0.0939 % |
10.0475 |
9.9974 |
194,940,762.18 |
|
|
K-AHYA-UI |
K Asia High Yield A Fund Not for Retail Investors |
|
20/09/2023 |
7.0650 |
-0.0060 | 0.0849 % |
N/A |
7.0650 |
1,424,785,904.35 |
|
|
K-AHYB-UI |
K Asia High Yield B Fund Not for Retail Investors |
|
20/09/2023 |
7.8698 |
+0.0009 | 0.0114 % |
N/A |
7.8698 |
1,335,684,512.21 |
|
|
K-AHYC-UI |
K Asia High Yield C Fund Not for Retail Investors |
|
20/09/2023 |
7.2458 |
+0.0008 | 0.0110 % |
N/A |
7.2458 |
1,038,234,063.01 |
|
|
K-AHYD-UI |
K Asia High Yield D Fund Not for Retail Investors |
|
20/09/2023 |
8.8232 |
-0.0052 | 0.0589 % |
N/A |
8.8232 |
1,219,776,847.24 |
|
|
K-AHY-UI |
K Asia High Yield Fund Not for Retail Investors |
|
20/09/2023 |
8.0892 |
-0.0068 | 0.0840 % |
8.0893 |
8.0892 |
1,537,307,607.87 |
|
|
K-APB-A(A) |
K Asia Pacific Bond Fund-A(A) |
|
20/09/2023 |
8.3153 |
-0.0152 | 0.1825 % |
8.3570 |
8.3153 |
2,242,619,667.98 |
|
|
K-DFIXED |
K Dynamic Fixed Income Fund |
|
22/09/2023 |
10.1213 |
+0.0000 | 0.0000 % |
10.1214 |
10.1213 |
265,788,647.68 |
|
|
K-FI22G |
K Fixed Income 2022G Fund |
|
22/09/2023 |
9.5531 |
-0.0002 | 0.0021 % |
N/A |
9.5531 |
790,107,933.07 |
|
|
K-FI22H |
K Fixed Income 2022H Fund |
|
22/09/2023 |
9.5511 |
-0.0002 | 0.0021 % |
N/A |
9.5511 |
588,816,010.13 |
|
|
K-FI22I |
K Fixed Income 2022I Fund |
|
22/09/2023 |
9.6825 |
-0.0002 | 0.0021 % |
N/A |
9.6825 |
901,169,390.26 |
|
|
K-FI22J |
K Fixed Income 2022J Fund |
|
22/09/2023 |
9.6759 |
-0.0003 | 0.0031 % |
N/A |
9.6759 |
591,799,633.12 |
|
|
K-FIXED-A |
K Fixed Income Fund-A |
recommend |
22/09/2023 |
12.9761 |
+0.0007 | 0.0054 % |
12.9762 |
12.9761 |
31,509,558,239.82 |
|
|
K-FIXEDPLUS-A |
K Fixed Income Plus Fund-A |
recommend |
22/09/2023 |
10.7384 |
-0.0067 | 0.0624 % |
10.7385 |
10.7384 |
14,844,337,423.28 |
|
|
K-FIXEDPLUS-SSF |
K Fixed Income Plus Fund-SSF |
recommend |
22/09/2023 |
10.7335 |
-0.0066 | 0.0615 % |
10.7336 |
10.7335 |
1,381,772,280.57 |
|
|
K-FIXEDPRO |
K Fixed Income Proactive Fund |
recommend |
21/09/2023 |
9.6305 |
-0.0195 | 0.2021 % |
9.6306 |
9.6305 |
1,309,837,434.18 |
|
|
K-FIXED-Z |
K Fixed Income Fund-Z |
|
22/09/2023 |
13.0610 |
+0.0008 | 0.0061 % |
13.0611 |
13.0610 |
2,520,996,254.21 |
|
|
K-GB-A(D) |
K Global Bond Fund-A(D) |
|
21/09/2023 |
8.7486 |
-0.0231 | 0.2633 % |
8.7924 |
8.7486 |
483,989,171.58 |
|
|
K-GB-C(A) |
K Global Bond Fund-C(A) |
|
21/09/2023 |
8.7663 |
-0.0232 | 0.2640 % |
8.7664 |
8.7663 |
18,688,501.74 |
|
|
K-GDBOND-A(A) |
K Global Dynamic Bond Fund-A(A) |
|
21/09/2023 |
8.2665 |
-0.0451 | 0.5426 % |
8.3079 |
8.2665 |
839,744,983.13 |
|
|
K-GINCOME-A(A) |
K Global Income Fund-A(A) |
recommend |
21/09/2023 |
11.2817 |
-0.1034 | 0.9082 % |
11.4510 |
11.2817 |
4,247,087,231.93 |
|
|
K-GINCOME-A(R) |
K Global Income Fund-A(R) |
recommend |
21/09/2023 |
11.2750 |
-0.1034 | 0.9087 % |
11.4442 |
11.2750 |
4,594,573,772.81 |
|
|
KGINCOMERMF |
K Global Income RMF |
recommend |
21/09/2023 |
9.8888 |
-0.0893 | 0.8950 % |
9.8889 |
9.8888 |
244,415,241.99 |
|
|
K-GINCOME-SSF |
K Global Income Fund-SSF |
recommend |
21/09/2023 |
11.0983 |
-0.1017 | 0.9080 % |
11.0984 |
11.0983 |
1,953,042,868.73 |
|
|
K-GINFRA-A(D) |
K Global Infrastructure Equity Fund-A(D) |
|
21/09/2023 |
8.8581 |
-0.1387 | 1.5417 % |
8.9911 |
8.8581 |
733,844,184.26 |
|
|
K-GINFRA-C(A) |
K Global Infrastructure Equity Fund-C(A) |
|
21/09/2023 |
8.9555 |
-0.1405 | 1.5446 % |
8.9556 |
8.9555 |
9.56 |
|
|
K-GPROP-A(A) |
K Global Property Equity Fund-A(A) |
|
21/09/2023 |
7.6783 |
-0.1527 | 1.9499 % |
7.7936 |
7.6783 |
117,751,902.62 |
|
|
K-GPROP-A(D) |
K Global Property Equity Fund-A(D) |
|
21/09/2023 |
7.1896 |
-0.1431 | 1.9515 % |
7.2975 |
7.1896 |
346,635,429.00 |
|
|
K-PROPI-A(D) |
K Property Infrastructure Flexible Fund-A(D) |
|
22/09/2023 |
8.3683 |
-0.0264 | 0.3145 % |
8.4521 |
8.3683 |
13,543,760,543.95 |
|
|