Mandatory Provident Fund

Constituent Fund Info / Price History

European Equity Fund (EUEF)

Pages

  • Page 1 of 72
Valuation Date
(MM/DD/YYYY)
Unit Price
(HKD)
02/04/202514.6719
02/03/202514.5827
01/28/202514.5544
01/27/202514.5857
01/24/202514.6302
01/23/202514.5414
01/22/202514.5279
01/21/202514.4406
01/20/202514.3786
01/17/202514.2459
01/16/202514.1551
01/15/202514.0138
01/14/202513.8521
01/13/202513.7869
01/10/202513.9128
01/09/202514.0611
01/08/202513.9999
01/07/202514.0839
01/06/202514.0304
01/03/202513.7876
01/02/202513.8341
12/31/202413.7960
12/30/202413.7323
12/27/202413.8282
12/24/202413.7437
12/23/202413.7340
12/20/202413.7217
12/19/202413.8036
12/18/202414.0785
12/17/202414.0914
12/16/202414.1522
12/13/202414.1703
12/12/202414.2146
12/11/202414.2512
12/10/202414.2302
12/09/202414.3767
12/06/202414.3430
12/05/202414.3386
12/04/202414.2498
12/03/202414.1769
12/02/202414.0685
11/29/202414.0319
11/28/202413.9648
11/27/202413.9046
11/26/202413.8862
11/25/202413.9642
11/22/202413.9173
11/21/202413.8386
11/20/202413.7537
11/19/202413.7951

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