1. PB Indonesia Balanced Fund = 3.51%
2. Public Islamic Select Enterprises Fund = 3.19%
3. Public Indonesia Select Fund = 3.10%
4. Public Regular Savings Fund = 3.00%
5. Public Islamic Dividend Fund = 2.21%
6. Public Islamic Equity Fund = 2.19%
7. Public Islamic Optimal Growth Fund = 2.18%
8. Public Islamic Sector Select Fund = 2.09%
9. Public Islamic Alpha-40 Growth Fund = 1.97%
10. Public Industry Fund = 1.74%
1. PB China Australia Equity Fund = -7.69%
2. PB China ASEAN Equity Fund = -6.27%
3. PB Asia Equity Fund = -6.13%
4. Public Regional Sector Fund = -5.93%
5. Public Far-East Select Fund = -5.29%
6. Public Natural Resources Equity Fund = -4.91%
7. Public Far-East Alpha-30 Fund = -3.78%
8. Public Smallcap Fund = -3.43%
9. Public Far-East Telco & Infrastructure Fund = -2.92%
10. Public Global Select Fund = -2.22%
A = NAV of initial date (before distribution)
B = NAV of current date (after distribution) - 就是我们要算到底增长了多少价值的日子
C = NAV of next business day after distribution
D = distribution (in RM)