Foreign Exchange Rates
As of Fri, September 12, 2025
|
Buying |
Selling |
USD |
56.85 |
57.35 |
JPY |
0.380775 |
0.395486 |
EUR |
65.770596 |
68.309757 |
GBP |
76.099938 |
79.037877 |
HKD |
7.273072 |
7.814339 |
Unit Investment Trust Funds
As of Fri, September 12, 2025
UITF |
NAVPU |
Cash Management Fund |
1.583495 |
Money Market Fund |
1.329877 |
Money Market Plus Fund |
1.243508 |
PERA Money Market Fund |
1.034802 |
Medium-Term Bond Fund |
2.518198 |
Bond Fund |
2.083448 |
PERA Bond Fund |
1.239629 |
Balanced Fund |
2.677543 |
Growth Fund |
2.651604 |
Alpha Equity Fund |
3.132055 |
Blue Chip Equity Fund |
0.957234 |
Equity Fund |
0.811335 |
High Dividend Equity Fund |
1.059749 |
US$ Money Market Fund |
1.44804 |
Global $ Fund |
1.589271 |
INTEREST RATES