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)
11/20/202413.7537
11/19/202413.7951
11/18/202413.8468
11/15/202413.8286
11/14/202414.0307
11/13/202413.9302
11/12/202414.0016
11/11/202414.2483
11/08/202414.1822
11/07/202414.3273
11/06/202414.2012
11/05/202414.3222
11/04/202414.2683
11/01/202414.2960
10/31/202414.1513
10/30/202414.3266
10/29/202414.3937
10/28/202414.4668
10/25/202414.4061
10/24/202414.3697
10/23/202414.3940
10/22/202414.5032
10/21/202414.5651
10/18/202414.6827
10/17/202414.6436
10/16/202414.5642
10/15/202414.5999
10/14/202414.7636
10/10/202414.6210
10/09/202414.6804
10/08/202414.6120
10/07/202414.7102
10/04/202414.6992
10/03/202414.6773
10/02/202414.7945
09/30/202414.9501
09/27/202415.1249
09/26/202415.0970
09/25/202414.9664
09/24/202414.9695
09/23/202414.8743
09/20/202414.8739
09/19/202415.0471
09/17/202414.8987
09/16/202414.8597
09/13/202414.8451
09/12/202414.7182
09/11/202414.5543
09/10/202414.5330
09/09/202414.6266

Our website uses cookies to give you the best user experience. By continuing to browse the site, you are agreeing to our privacy policy. For details, please browse the relevant information in our website.

Accept & CloseX