Mandatory Provident Fund

Constituent Fund Info / Price History

Global Bond Fund (GLBF)

Pages

  • Page 1 of 76
Valuation Date
(MM/DD/YYYY)
Unit Price
(HKD)
11/21/202411.6798
11/20/202411.6815
11/19/202411.7295
11/18/202411.6823
11/15/202411.6630
11/14/202411.6524
11/13/202411.6578
11/12/202411.6919
11/11/202411.7502
11/08/202411.7880
11/07/202411.7605
11/06/202411.6874
11/05/202411.7922
11/04/202411.7995
11/01/202411.7527
10/31/202411.7913
10/30/202411.7954
10/29/202411.7911
10/28/202411.8046
10/25/202411.8429
10/24/202411.8498
10/23/202411.7997
10/22/202411.8605
10/21/202411.8996
10/18/202411.9908
10/17/202411.9628
10/16/202412.0170
10/15/202412.0069
10/14/202411.9417
10/10/202411.9687
10/09/202411.9970
10/08/202412.0345
10/07/202412.0275
10/04/202412.0799
10/03/202412.1578
10/02/202412.2159
09/30/202412.2683
09/27/202412.2880
09/26/202412.2507
09/25/202412.2679
09/24/202412.3086
09/23/202412.2641
09/20/202412.2602
09/19/202412.2911
09/17/202412.3593
09/16/202412.3713
09/13/202412.3407
09/12/202412.2704
09/11/202412.2704
09/10/202412.2367

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