Singapore Index Fund NAV per unit stands at S$5.3391 as of Sept. 24, 2026
EWS•Singapore Index Fund reported a net asset value of S$5.3391 per unit on Sept. 24, 2026, with 13,421,357 units in issue.
1. Fund figures
Singapore Index Fund reported a net asset value of S$5.3391 per unit on Sept. 24, 2026. Total units in issue stood at 13,421,357.




