| Prices updated as of 16/03/2010 12:00:05 |
| ABERDEEN ASSET MANAGEMENT ASIA LIMITED | Bid Price | Offer Price | Valuation Date as at | | ABERDEEN AMERICAN OPPTIES | 0.656300 | 0.656300 | 11/03/2010 | | ABERDEEN ASIAN CREDIT FUND | 1.242900 | 1.242900 | 11/03/2010 | | ABERDEEN CHINA OPP FUND | 2.561500 | 2.561500 | 11/03/2010 | | ABERDEEN EURO OPPORTUNITIES | 1.030500 | 1.030500 | 11/03/2010 | | ABERDEEN GLOBAL OPP FUND | 0.811200 | 0.811200 | 11/03/2010 | | ABERDEEN GLOBAL TECHNOLOGY FND | 0.409200 | 0.409200 | 11/03/2010 | | ABERDEEN INDONESIA EQTY (US$) | 3.450000 | 3.450000 | 11/03/2010 | | ABERDEEN INDONESIAN EQUITY | 4.175000 | 4.175000 | 11/03/2010 | | ABERDEEN JAPAN EQUITY | 0.791500 | 0.791500 | 11/03/2010 | | ABERDEEN MALAYSIAN EQUITY | 2.493700 | 2.493700 | 11/03/2010 | | ABERDEEN PACIFIC EQUITY | 3.896500 | 3.896500 | 11/03/2010 | | ABERDEEN PACIFIC EQUITY FD US$ | 2.200000 | 2.200000 | 11/03/2010 | | ABERDEEN SINGAPORE EQUITY | 3.754200 | 3.754200 | 11/03/2010 | | ABERDEEN THAILAND EQTY (US$) | 1.780000 | 1.780000 | 11/03/2010 | | ABERDEEN THAILAND EQUITY | 4.404800 | 4.404800 | 11/03/2010 | | | | Top |
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| ALLIANCEBERNSTEIN (SINGAPORE) LTD. | Bid Price | Offer Price | Valuation Date as at | | AB GLOBAL GROWTH TRENDS S$ | 58.830000 | 58.830000 | 11/03/2010 | | AB GLOBAL GROWTH TRENDS U$ A | 42.100000 | 42.100000 | 11/03/2010 | | AB INTL HEALTHCARE-CL AS$ | 200.080000 | 200.080000 | 11/03/2010 | | | | Top |
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| ALLIANZ GLOBAL INVESTORS | Bid Price | Offer Price | Valuation Date as at | | ALLIANZ GBL HIGH PAYOUT FD S$ | 0.601000 | 0.601000 | 11/03/2010 | | ALLIANZ GBL HIGH PAYOUT FD US$ | 0.702000 | 0.702000 | 11/03/2010 | | | | Top |
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| BARCLAYS CAPITAL FUNDS SOLUTIONS | Bid Price | Offer Price | Valuation Date as at | | ASIAN REAL ESTATE INCOME FUND | 0.581900 | 0.581900 | 09/03/2010 | | BARCLAYS INV LEGENDS FD SGD | 0.806100 | 0.806100 | 10/03/2010 | | BARCLAYS INV LEGENDS FD USD | 77.930000 | 77.930000 | 10/03/2010 | | DYNAMIC MONEY BUILDER FD (S$) | 0.872400 | 0.872400 | 11/03/2010 | | ENTERTAINMENT SEL INC FD US$ | 0.568600 | 0.568600 | 09/03/2010 | | ENTERTAINMENT SELECT INCOME FD | 0.469100 | 0.469100 | 09/03/2010 | | EQUITY SELECT INCOME FD S$ | 0.524900 | 0.524900 | 09/03/2010 | | EQUITY SELECT INCOME FD US$ | 0.606700 | 0.606700 | 09/03/2010 | | GBL COMMODITIES DYNAMIC FD | 0.942700 | 0.942700 | 09/03/2010 | | GLOBAL AGRICULTURE DELTA FUND | 0.606100 | 0.606100 | 10/03/2010 | | LIFE SELECT INCOME FUND (S$) | 0.785400 | 0.785400 | 09/03/2010 | | | | Top |
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| DBS ASSET MANAGEMENT LTD | Bid Price | Offer Price | Valuation Date as at | | ASIA KNOWLEDGE FUND | 1.456000 | 1.456000 | 11/03/2010 | | DBS ASIA BOND FD (S$)-CL A | 0.911000 | 0.911000 | 11/03/2010 | | DBS ASIA BOND FD (S$)-CL B | 0.922000 | 0.922000 | 11/03/2010 | | DBS ASIA BOND FD (US$)-A | 0.652000 | 0.652000 | 11/03/2010 | | DBS ASIA BOND FD (US$)-B | 0.660000 | 0.660000 | 11/03/2010 | | DBS ASIA KNOWLEDGE | 1.456000 | 1.456000 | 11/03/2010 | | DBS DOUBLE BONUS CAP PRTD FD | 0.910590 | 0.910590 | 09/03/2010 | | DBS ENHANCED INCOME (S$) | 1.232080 | 1.232080 | 11/03/2010 | | DBS GLB PPTY SEC FUND | 0.639000 | 0.639000 | 11/03/2010 | | DBS GLB PPTY SEC FUND (US$) | 0.457000 | 0.457000 | 11/03/2010 | | DBS INDOCHINA FUND | 74.090000 | 74.090000 | 10/02/2010 | | DBS JAPAN GROWTH | 0.793000 | 0.793000 | 11/03/2010 | | DBS MENDAKI GLOBAL | 0.983000 | 0.983000 | 11/03/2010 | | DBS SHENTON ASIA PACIFIC | 1.091000 | 1.091000 | 11/03/2010 | | DBS SHENTON DYNAMIC BOND | 1.050000 | 1.050000 | 11/03/2010 | | DBS SHENTON GLOBAL ADVANTAGE | 2.032000 | 2.032000 | 11/03/2010 | | DBS SHENTON GLOBAL OPP | 0.799000 | 0.799000 | 11/03/2010 | | DBS SHENTON GREATER CHINA | 1.607000 | 1.607000 | 11/03/2010 | | DBS SHENTON INCOME | 1.309000 | 1.309000 | 11/03/2010 | | DBS SHENTON INCOME FUND (US$) | 0.937000 | 0.937000 | 11/03/2010 | | DBS SHENTON THRIFT | 1.554000 | 1.554000 | 11/03/2010 | | DBS SHENTON TWIN CITY | 2.206000 | 2.206000 | 11/03/2010 | | DBS SPRINT CAPITAL PROTECTED | 0.926580 | 0.926580 | 09/03/2010 | | DBS TRIPLE HAPPINESS FUND | 0.948520 | 0.948520 | 09/03/2010 | | EI8HT A | 1.093000 | 1.093000 | 11/03/2010 | | EI8HT B | 1.013000 | 1.013000 | 11/03/2010 | | EI8HT C | 0.968000 | 0.968000 | 11/03/2010 | | EI8HT D | 0.866000 | 0.866000 | 11/03/2010 | | EI8HT E | 0.800000 | 0.800000 | 11/03/2010 | | HORIZON ASIA EX-JAPAN EQ-USD | 1.239000 | 1.239000 | 11/03/2010 | | HORIZON ASIA EX-JAPAN EQUITY | 1.732000 | 1.732000 | 11/03/2010 | | HORIZON EUROPEAN EQUITY | 1.070000 | 1.070000 | 11/03/2010 | | HORIZON EUROPEAN EQUITY-USD | 0.766000 | 0.766000 | 11/03/2010 | | HORIZON GLOBAL BOND S$ HEDGED | 1.202000 | 1.202000 | 11/03/2010 | | HORIZON GLOBAL BOND US$ H-USD | 0.861000 | 0.861000 | 11/03/2010 | | HORIZON GLOBAL BOND US$ HEDGED | 1.203000 | 1.203000 | 11/03/2010 | | HORIZON GLOBAL EQUITY | 0.808000 | 0.808000 | 11/03/2010 | | HORIZON GLOBAL EQUITY-USD | 0.578000 | 0.578000 | 11/03/2010 | | HORIZON JAPANESE EQUITY | 0.762000 | 0.762000 | 11/03/2010 | | HORIZON JAPANESE EQUITY-USD | 0.545000 | 0.545000 | 11/03/2010 | | HORIZON SINGAPORE EQUITY | 1.215000 | 1.215000 | 11/03/2010 | | HORIZON SINGAPORE EQUITY-USD | 0.869000 | 0.869000 | 11/03/2010 | | HORIZON SPORE FI INC ENHANCED | 1.206000 | 1.206000 | 11/03/2010 | | HORIZON SPORE FIXED INCOME US$ | 0.863000 | 0.863000 | 11/03/2010 | | HORIZON UK EQUITY | 0.703000 | 0.703000 | 11/03/2010 | | HORIZON UK EQUITY-USD | 0.503000 | 0.503000 | 11/03/2010 | | HORIZON US EQUITY | 0.631000 | 0.631000 | 11/03/2010 | | HORIZON US EQUITY-USD | 0.451000 | 0.451000 | 11/03/2010 | | JAPAN GROWTH FUND | 0.793000 | 0.793000 | 11/03/2010 | | MENDAKI GLOBAL FUND | 0.983000 | 0.983000 | 11/03/2010 | | MYHOME FUND - HOMEBALANCED | 1.040000 | 1.040000 | 11/03/2010 | | MYHOME FUND - HOMEGROWTH | 1.060000 | 1.060000 | 11/03/2010 | | MYHOME FUND - HOMESTEADY | 1.010000 | 1.010000 | 11/03/2010 | | POSB INVESTSTEADY FUND | 0.829000 | 0.829000 | 11/03/2010 | | REACH CAPITAL GUARANTEED FUND | 0.977330 | 0.977330 | 09/03/2010 | | SHENTON ASIA PACIFIC FUND | 1.091000 | 1.091000 | 11/03/2010 | | SHENTON DYNAMIC BOND FUND | 1.050000 | 1.050000 | 11/03/2010 | | SHENTON GLOBAL ADVANTAGE FUND. | 2.032000 | 2.032000 | 11/03/2010 | | SHENTON GLOBAL OPP FUND | 0.799000 | 0.799000 | 11/03/2010 | | SHENTON GREATER CHINA FUND | 1.607000 | 1.607000 | 11/03/2010 | | SHENTON INCOME FUND | 1.309000 | 1.309000 | 11/03/2010 | | SHENTON THRIFT FUND | 1.554000 | 1.554000 | 11/03/2010 | | SHENTON TWIN CITY FUND | 2.206000 | 2.206000 | 11/03/2010 | | | | Top |
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| DBSAM - DCCG | Bid Price | Offer Price | Valuation Date as at | | DBS CELEBRATION FUND | 0.978720 | 0.978720 | 09/03/2010 | | | | Top |
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| DEUTSCHE ASSET MGT | Bid Price | Offer Price | Valuation Date as at | | DWS AGRIBUSINESS US$ | 124.270000 | 124.270000 | 11/03/2010 | | DWS ASIA PREMIER TRUST | 2.113300 | 2.113300 | 11/03/2010 | | DWS CHINA EQTY FD CLASS A SGD | 2.791200 | 2.791200 | 11/03/2010 | | DWS CHINA EQTY FD CLASS A USD | 1.996900 | 1.996900 | 11/03/2010 | | DWS GLOBAL AGRIBUSINESS S$ | 0.974600 | 0.974600 | 11/03/2010 | | DWS GLOBAL THEMES EQUITY S$ | 0.748300 | 0.748300 | 11/03/2010 | | DWS GLOBAL THEMES EQUITY US$ | 0.535400 | 0.535400 | 11/03/2010 | | DWS PREMIER SELECT TRUST | 1.324200 | 1.324200 | 11/03/2010 | | | | Top |
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| DEUTSCHE BANK GROUP | Bid Price | Offer Price | Valuation Date as at | | BOOSTER CAPITAL GTD FD (S$) | 9.650000 | 9.650000 | 04/03/2010 | | DOUBLE JOY CAPITAL GTD (US$) | 9.930000 | 9.930000 | 04/03/2010 | | | | Top |
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| FIL INVESTMENT MANAGEMENT (S) LIMITED | Bid Price | Offer Price | Valuation Date as at | | FF-TAIWAN FUND (A USD) | 8.150000 | 8.150000 | 11/03/2010 | | FIDELITY FUNDS - LIVE 2020 | 0.888000 | 0.888000 | 11/03/2010 | | FIDELITY FUNDS - LIVE 2030 | 0.884000 | 0.884000 | 11/03/2010 | | FIDELITY FUNDS - LIVE TODAY | 0.937000 | 0.937000 | 11/03/2010 | | FIDELITY INDIA FOCUS FUND S$ | 0.821000 | 0.821000 | 11/03/2010 | | FIDELITY INDIA FOCUS FUND US$ | 28.650000 | 28.650000 | 11/03/2010 | | FIDELITY SE ASIA FUND S$ | 1.300000 | 1.300000 | 11/03/2010 | | FIDELITY SE ASIA FUND US$ | 5.801000 | 5.801000 | 11/03/2010 | | | | Top |
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| FIRST STATE INVESTMENTS (SINGAPORE) | Bid Price | Offer Price | Valuation Date as at | | FIRST STATE BRIDGE FUND | 1.345300 | 1.345300 | 11/03/2010 | | FIRST STATE DIV ADVANTAGE SGD | 1.270900 | 1.270900 | 11/03/2010 | | FIRST STATE DIV ADVANTAGE USD | 0.909200 | 0.909200 | 11/03/2010 | | FIRST STATE GLB RESOURCES SGD | 1.402200 | 1.402200 | 11/03/2010 | | FIRST STATE GLB RESOURCES USD | 1.003200 | 1.003200 | 11/03/2010 | | FIRST STATE GLOBAL BALANCED | 0.705300 | 0.705300 | 11/03/2010 | | FIRST STATE GLOBAL OPP | 0.904400 | 0.904400 | 11/03/2010 | | FIRST STATE REGIONAL CHINA | 1.898200 | 1.898200 | 11/03/2010 | | FIRST STATE REGIONAL CHINA-US$ | 1.358000 | 1.358000 | 11/03/2010 | | FIRST STATE REGIONAL INDIA | 3.096400 | 3.096400 | 11/03/2010 | | FIRST STATE REGIONAL INDIA-US$ | 2.215300 | 2.215300 | 11/03/2010 | | FIRST STATE SINGAPORE GROWTH | 1.881300 | 1.881300 | 11/03/2010 | | FS ASIA INNOVATION FUND | 0.657100 | 0.657100 | 11/03/2010 | | FS ASIAN GROWTH FUND | 1.523300 | 1.523300 | 11/03/2010 | | | | Top |
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| FRANKLIN TEMPLETON INVESTMENTS -OFFSHORE | Bid Price | Offer Price | Valuation Date as at | | FTIF-INCOME FD A(MDIS) USD | 10.750000 | 10.750000 | 11/03/2010 | | | | Top |
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| HENDERSON INVESTORS SINGAPORE LIMITED | Bid Price | Offer Price | Valuation Date as at | | HENDERSON ASIA-PAC PROP EQ FD | 0.750000 | 0.750000 | 11/03/2010 | | HENDERSON EURO PROPERTY SECU | 1.560000 | 1.560000 | 11/03/2010 | | HENDERSON EUROPEAN FUND | 0.810000 | 0.810000 | 11/03/2010 | | HENDERSON GLOBAL TECHNOLOGY | 1.390000 | 1.390000 | 11/03/2010 | | HENDERSON PACIFIC DRAGON FUND | 1.740000 | 1.740000 | 11/03/2010 | | | | Top |
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| LANTERN STRUCTURED ASSET MGT LTD | Bid Price | Offer Price | Valuation Date as at | | LANTERN GLOBAL IPO FUND S$ | 1.266000 | 1.266000 | 02/03/2010 | | LANTERN PREM INC COMDTY FD(S$) | 0.906000 | 0.906000 | 02/03/2010 | | | | Top |
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| LEGG MASON ASSET MANAGEMENT (S) PTE LTD | Bid Price | Offer Price | Valuation Date as at | | LEGG MASON SOUTHEAST ASIA SPE | 1.843000 | 1.843000 | 11/03/2010 | | | | Top |
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| LEGG MASON ASSET MGT (S) PTE LTD - OFFS | Bid Price | Offer Price | Valuation Date as at | | LM CAPITAL MGMT VALUE FD S$ | 0.486000 | 0.486000 | 11/03/2010 | | LM CAPITAL MGMT VALUE FD US$ | 55.890000 | 55.890000 | 11/03/2010 | | | | Top |
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| LYXOR INTERNATIONAL ASSET MANAGEMENT | Bid Price | Offer Price | Valuation Date as at | | HI-LO REVERSO CAPITAL GTD S$ | 10.050000 | 10.050000 | 09/03/2010 | | LYXOR STEPUP GTD FD (S$) | 10.060000 | 10.060000 | 09/03/2010 | | TRIGGER EXPRESS GTD FD S$ | 9.060000 | 9.060000 | 09/03/2010 | | TRIGGER EXPRESS GTD FD US$ | 9.940000 | 9.940000 | 09/03/2010 | | | | Top |
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| SCHRODER INVESTMENT MANAGEMENT (S) LTD | Bid Price | Offer Price | Valuation Date as at | | SAS GOLD & METALS FD S$ HDG | 10.790000 | 10.790000 | 11/03/2010 | | SAS GOLD & METALS FUND US$ | 9.850000 | 9.850000 | 11/03/2010 | | SCHR EM DEBT ABSOLUTE RTN S$ | 9.940000 | 9.940000 | 11/03/2010 | | SCHR EM DEBT ABSOLUTE RTN US$ | 14.110000 | 14.110000 | 11/03/2010 | | SCHR GBL EMERG MKT OPP S$ | 12.180000 | 12.180000 | 11/03/2010 | | SCHR GBL EMERG MKT OPP US$ | 13.220000 | 13.220000 | 11/03/2010 | | SCHR ISF ASIAN ETY YLD US$-DIS | 13.750000 | 13.750000 | 11/03/2010 | | SCHR ISF EMERGING MKTS US$ DIS | 11.500000 | 11.500000 | 11/03/2010 | | SCHR ISF JAP EQ ALP ACC(A)-USD | 9.770000 | 9.770000 | 11/03/2010 | | SCHRDR JAPANESE EQTY ALPHA S$ | 0.753000 | 0.753000 | 11/03/2010 | | SCHRODER ACTIVE STRA PORT S$ | 1.085000 | 1.085000 | 24/02/2010 | | SCHRODER ACTIVE STRA PORT US$ | 1.240000 | 1.240000 | 24/02/2010 | | SCHRODER AS COMMODITY FUND S$ | 8.270000 | 8.270000 | 11/03/2010 | | SCHRODER AS COMMODITY FUND US$ | 119.530000 | 119.530000 | 11/03/2010 | | SCHRODER ASIAN BOND A DIS US$ | 7.060000 | 7.060000 | 11/03/2010 | | SCHRODER ASIAN BOND S$ | 0.825000 | 0.825000 | 11/03/2010 | | SCHRODER ASIAN EQTY YIELD(S$) | 0.892000 | 0.892000 | 11/03/2010 | | SCHRODER ASIAN GROWTH FD US$ | 1.956000 | 1.956000 | 11/03/2010 | | SCHRODER ASIAN GROWTH FUND | 1.969000 | 1.969000 | 11/03/2010 | | SCHRODER ASIAN PREMIUM BOND FD | 0.910000 | 0.910000 | 11/03/2010 | | SCHRODER BALANCED GROWTH FD | 1.136000 | 1.136000 | 11/03/2010 | | SCHRODER BRIC FUND (SGD) | 1.315000 | 1.315000 | 11/03/2010 | | SCHRODER EMERGING MARKETS S$ | 1.449000 | 1.449000 | 11/03/2010 | | SCHRODER EUROPEAN EQTY YIELD | 0.554000 | 0.554000 | 11/03/2010 | | SCHRODER EUROPN EQTY ALPHA FD | 0.951000 | 0.951000 | 11/03/2010 | | SCHRODER GOLDEN BLOSSOM FUND | 0.617600 | 0.617600 | 24/02/2010 | | SCHRODER ISF BRIC A ACC (USD) | 196.260000 | 196.260000 | 11/03/2010 | | SCHRODER LIVESURE 2025 FUND | 0.608600 | 0.608600 | 08/03/2010 | | SCHRODER MIDDLE EAST FD S$ | 6.550000 | 6.550000 | 11/03/2010 | | SCHRODER MIDDLE EAST FD US$ | 7.610000 | 7.610000 | 11/03/2010 | | SCHRODER MULTI-EXPRESS FUND | 0.987000 | 0.987000 | 24/02/2010 | | SCHRODER SINGAPORE TRUST FD | 1.392000 | 1.392000 | 11/03/2010 | | SCHRODER STRATEGIC BD DIS-US$ | 104.130000 | 104.130000 | 11/03/2010 | | SCHRODER STRATEGIC BOND FD S$ | 0.952000 | 0.952000 | 11/03/2010 | | | | Top |
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| TEMPLETON ASSET MANAGEMENT LTD | Bid Price | Offer Price | Valuation Date as at | | FTIF-ASIAN GROWTH A(ACC) SGD | 7.350000 | 7.350000 | 11/03/2010 | | FTIF-ASIAN GROWTH A(ACC) USD | 27.700000 | 27.700000 | 11/03/2010 | | FTIF-BIOTECH DISCOVERY FUND | 9.800000 | 9.800000 | 11/03/2010 | | FTIF-EUROPEAN FUND | 6.180000 | 6.180000 | 11/03/2010 | | FTIF-GLOBAL BALANCED FUND | 8.160000 | 8.160000 | 11/03/2010 | | FTIF-GLOBAL BOND A(MDIS) SGD | 11.610000 | 11.610000 | 11/03/2010 | | FTIF-GLOBAL BOND A(MDIS) USD | 19.180000 | 19.180000 | 11/03/2010 | | FTIF-GLOBAL EQUITY INCOME | 6.140000 | 6.140000 | 11/03/2010 | | FTIF-GLOBAL FUND | 6.740000 | 6.740000 | 11/03/2010 | | FTIF-HIGH YIELD A(MDIS)SGD-H1 | 8.400000 | 8.400000 | 11/03/2010 | | FTIF-INCOME FD A(MDIS)SGD-H1 | 7.800000 | 7.800000 | 11/03/2010 | | FTIF-KOREA FUND | 6.440000 | 6.440000 | 11/03/2010 | | FTIF-MUTUAL BEACON FUND | 7.370000 | 7.370000 | 11/03/2010 | | FTIF-US OPPORTUNITIES FUND | 7.900000 | 7.900000 | 11/03/2010 | | | | Top |
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| UBS ASSET MANAGEMENT | Bid Price | Offer Price | Valuation Date as at | | UBS ABSOLUTE RTN PLUS (USD) B | 111.930000 | 111.930000 | 11/03/2010 | | UBS ABSOLUTE RTN PLUS S$ HEDGE | 93.890000 | 93.890000 | 11/03/2010 | | UBS(LUX)EQ ASIAN CONSUMPTIONS$ | 123.330000 | 123.330000 | 11/03/2010 | | UBS(LUX)EQ ASIANCONSUMPTIONUS$ | 85.110000 | 85.110000 | 11/03/2010 | | | | Top |
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