Highlights
SGX: ONESTOXXASEAN US$ (CFN)       ONESTOXXASEAN FUND
Last Price Today's Change   Day's Range   Trading Volume
1.881   0.00 (0.00%)  1.881 - 1.881  0

Announcements

Date Subject
07-Apr-2020 General Announcement::Market Making on SGX-ST
06-Apr-2020 General Announcement::Market Making on SGX-ST
03-Apr-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 3 APRIL 2020
27-Mar-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 27 MARCH 2020
20-Mar-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 20 MARCH 2020
13-Mar-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 13 MARCH 2020
06-Mar-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 6 MARCH 2020
28-Feb-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 28 FEBRUARY 2020
25-Feb-2020 Annual Reports and Related Documents::
21-Feb-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 21 FEBRUARY 2020
14-Feb-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 14 FEBRUARY 2020
13-Feb-2020 General Announcement::DIVIDEND ANNOUNCEMENT FOR THE PERIOD 1 OCTOBER 2019 to 31 DECEMBER 2019
07-Feb-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 7 FEBRUARY 2020
31-Jan-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 31 JANUARY 2020
24-Jan-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 24 JANUARY 2020
17-Jan-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 17 JANUARY 2020
10-Jan-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 10 JANUARY 2020
03-Jan-2020 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 3 JANUARY 2020
27-Dec-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 27 DECEMBER 2019
20-Dec-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS OF 20 DECEMBER 2019
14-Dec-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 13 DECEMBER 2019
07-Dec-2019 Listing-Exchange Traded Products
29-Nov-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 29 NOVEMBER 2019
22-Nov-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 22 NOVEMBER 2019
15-Nov-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 15 NOVEMBER 2019
08-Nov-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 8 NOVEMBER 2019
01-Nov-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 1 NOVEMBER 2019
25-Oct-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 25 OCTOBER 2019
18-Oct-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 18 OCTOBER 2019
11-Oct-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 11OCTOBER 2019
04-Oct-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 4 OCTOBER 2019
27-Sep-2019 Listing-Exchange Traded Products
26-Sep-2019 Annual Reports and Related Documents::
21-Sep-2019 Listing-Exchange Traded Products
13-Sep-2019 Listing-Exchange Traded Products
06-Sep-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 6 SEPTEMBER 2019
30-Aug-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 30 AUGUST 2019
23-Aug-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 23 AUGUST 2019
16-Aug-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 16 AUGUST 2019
09-Aug-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 9 AUGUST 2019
02-Aug-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 2 AUGUST 2019
27-Jul-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 26 JULY 2019
19-Jul-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 19 JULY 2019
12-Jul-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 12 JULY 2019
06-Jul-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 5 JULY 2019
28-Jun-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 28 JUNE 2019
22-Jun-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 21 JUNE 2019
15-Jun-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 14 JUNE 2019
07-Jun-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 07 JUNE 2019
02-Jun-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 31 MAY 2019
24-May-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 24 MAY 2019
18-May-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 17 MAY 2019
11-May-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 10 MAY 2019
03-May-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 3 MAY 2019
27-Apr-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 26 APRIL 2019
20-Apr-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 19 APRIL 2019
13-Apr-2019 Exchange Traded Products Listing - Exchange Traded Fund::ANNOUNCEMENT OF NET ASSET VALUE PER UNIT AS AT 12 APRIL 2019

  Be the first to like this.
 


APPS
I3 Messenger
Individual or Group chat with anyone on I3investor
 
 

197  103  119  684 

ActiveGainersLosers
Top 10 Active Counters
 NameLastChange 
 Rex Intl 0.12+0.01 
 ESR-REIT 0.28+0.025 
 Genting Sing 0.725-0.02 
 Lippo Malls Tr 0.103-0.003 
 Broadway Ind 0.087+0.002 
 CapitaMall Trust 1.68-0.02 
 SingTel 2.71+0.10 
 AusGroup^ 0.025+0.001 
 OEL 0.02+0.001 
 Golden Agri-Res 0.164+0.008 
Partners & Brokers