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Daily Price
Fund Name
Valuation Date
NAV per unit (RM)
Change
Hong Leong Dana Al-Safa' (SGD Class A)
7/5/2025
1.0477
-0.0012
Hong Leong Dana Al-Safa' (USD Class A)
7/5/2025
1.0963
-0.0024
Hong Leong Income Fund Class D
8/5/2025
1.0154
0.0004
Hong Leong Wholesale Bond Fund Class D
7/5/2025
1.0108
0.0007
Hong Leong Dana Dividen
7/5/2025
0.4818
0.0051
Hong Leong Value Fund
8/5/2025
0.0745
0.0000
Hong Leong PRS Growth Fund
8/5/2025
0.5161
0.0000
Hong Leong Consumer Products Sector Fund
8/5/2025
0.2133
-0.0009
Hong Leong Global Shariah ESG Fund
7/5/2025
0.9567
0.0033
Hong Leong PRS Islamic Moderate Fund
8/5/2025
0.5079
0.0004
Hong Leong Money Market Fund
8/5/2025
1.0200
0.0001
Hong Leong Asia-Pacific Dividend Fund
7/5/2025
0.3928
0.0028
Hong Leong PRS Islamic Growth Fund
8/5/2025
0.5210
0.0004
Hong Leong Strategic Fund
7/5/2025
0.2661
0.0029
Hong Leong PRS Islamic Conservative Fund
7/5/2025
0.4769
0.0000
Hong Leong Dana Makmur
8/5/2025
0.6366
0.0007
Hong Leong Bond Fund
7/5/2025
0.5542
0.0003
Hong Leong Balanced Fund
8/5/2025
0.4527
0.0007
Hong Leong ASEAN-5 Equity Fund Class B (formerly known as Hong Leong SEA-5 Equity Fund Class B)
7/5/2025
0.4491
0.0016
Hong Leong Dana Maa’rof
8/5/2025
0.4915
0.0004
Hong Leong Institutional Bond Fund
8/5/2025
0.5185
0.0001
Hong Leong Dividend Fund
8/5/2025
0.7441
0.0016
Hong Leong ASEAN-5 Equity Fund Class A (formerly known as Hong Leong SEA-5 Equity Fund Class A)
7/5/2025
0.4179
0.0014
Hong Leong Islamic Income Management Fund
8/5/2025
0.4994
0.0000
Hong Leong Greater China Fund (formerly known as Hong Leong Hong Kong Equity Optimizer Fund)
7/5/2025
0.2053
0.0005
Hong Leong Regular Income Fund
7/5/2025
0.4788
0.0022
Hong Leong Dana Al-Izdihar
8/5/2025
0.5027
0.0001
Hong Leong Asia Pacific Equity Fund
7/5/2025
0.8072
0.0007
Hong Leong Income Fund Class A
8/5/2025
1.0204
0.0004
Hong Leong Global Multi Strategies Fund
7/5/2025
1.0964
0.0034
Hong Leong Wholesale Income Fund
8/5/2025
1.0000
0.0000
Hong Leong Wholesale Equity Fund 2
7/5/2025
0.9574
0.0030
Hong Leong Dana Al-Safa' (MYR Class A)
7/5/2025
1.0004
0.0001
Hong Leong PRS Moderate Fund
8/5/2025
0.5323
0.0007
Hong Leong PRS Conservative Fund
8/5/2025
0.5294
0.0003
Hong Leong PRS Asia Pacific Fund
7/5/2025
0.3924
0.0025
Hong Leong Global ESG Fund
7/5/2025
0.9888
0.0056
Hong Leong Growth Fund
7/5/2025
0.4535
0.0051