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FOR FINANCIAL ADVISERS ONLY
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Old Mutual International Guernsey

The prices at which units are bought and sold are updated via an automated procedure. The date of the latest fund price is in the price date column and is displayed in format (dd-mm-yyyy).

Note: Please use the dropdown below (top left, under Fund Quickrank heading) to view the fund prices for your chosen product.

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The content of this site is not for the use of Hong Kong investors, however it does provide you (Hong Kong investors) with a secure customer login.