Mandatory Provident Fund

Constituent Fund Info / Price History

US Equity Fund (USEF)

Pages

  • Page 1 of 74
Valuation Date
(MM/DD/YYYY)
Unit Price
(HKD)
06/18/202541.3737
06/17/202541.3921
06/16/202541.7231
06/13/202541.3377
06/12/202541.7872
06/11/202541.6424
06/10/202541.7308
06/09/202541.5266
06/06/202541.5053
06/05/202541.1011
06/04/202541.2897
06/03/202541.2817
06/02/202541.0359
05/30/202540.8489
05/29/202540.8288
05/28/202540.7116
05/27/202540.9205
05/26/202540.1110
05/23/202540.0789
05/22/202540.3149
05/21/202540.3337
05/20/202540.9515
05/19/202541.0888
05/16/202540.9973
05/15/202540.7242
05/14/202540.5431
05/13/202540.4423
05/12/202540.0756
05/09/202538.8487
05/08/202538.8456
05/07/202538.5702
05/06/202538.3923
05/02/202538.9276
04/30/202538.1604
04/29/202538.1007
04/28/202537.8777
04/25/202537.8531
04/24/202537.5893
04/23/202536.8471
04/22/202536.2427
04/17/202536.1947
04/16/202536.1080
04/15/202536.9070
04/14/202536.9378
04/11/202536.6370
04/10/202535.9757
04/09/202537.2813
04/08/202534.0802
04/07/202534.6216
04/03/202536.9403

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