SGD

Fund price as at 06 January 2009

Fund Name
NAV 
(S$)
NAV
Daily Change

Henderson Global Technology Fund

0.96
+2.13%

Henderson Global Select Funds

0.55
0.00%
0.67
0.00%
1.31
0.00%
0.97
+1.04%
1.26
-0.79%
1.27
-1.55%
0.63
+1.61%
0.76
-1.3%
1.13
0.00%

Henderson Horizon Fund

12.32
+1.65%
13.91
+1.76%
10.28
+2.29%
7.12
-1.52%
15.77
+0.32%
15.80
+0.25%
17.24
+0.94%
19.93
+0.91%
24.37
+0.66%

* Included under the CPF Investment Scheme
# Please note that this fund has ceased to accept new CPF monies from 24 September 2008

Key Term

NAV
Net Asset Value is the value of the underlying investments in a unit trust.