Funds Charges, Calculations, Dividends

Bid is the price at which you sell your unit trusts (the fund manager "bids" for your units at this price).

Offer is the price at which you buy an unit trusts (the fund manager "offers" to sell you the units at this price).

The Net Asset Value (NAV) is the market value of a unit trust's total assets, minus liabilities, divided by the number of units or shares outstanding. So it is the price per unit of the fund. It is uses to determine the prices for buying and selling units.

Note:
Unit trusts available on FSM Global are using NAV (single) pricing method.

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