Term Funds

SCBAM Fund

Risk Level

NAV
(Based on Fund Currency)

Choose

SCBSB6M75

SCB Sovereign Bond 6M75

Risk Level

3

NAV
(Based on Fund Currency)

SCBSB3M88

SCB Sovereign Bond 3M88

Risk Level

3

NAV
(Based on Fund Currency)

SCBSB3M87

SCB Sovereign Bond 3M87

Risk Level

3

NAV
(Based on Fund Currency)

SCBSB6M74

SCB Sovereign Bond 6M74

Risk Level

3

NAV
(Based on Fund Currency)

SCBSB6M73

SCB Sovereign Bond 6M73

Risk Level

3

NAV
(Based on Fund Currency)

10.0092

at 27 Feb 2026

SCBSB3M86

SCB Sovereign Bond 3M86

Risk Level

3

NAV
(Based on Fund Currency)

9.9796

at 27 Feb 2026

SCBSB3M85

SCB Sovereign Bond 3M85

Risk Level

3

NAV
(Based on Fund Currency)

9.9986

at 27 Feb 2026

SCBSB6M72

SCB Sovereign Bond 6M72

Risk Level

3

NAV
(Based on Fund Currency)

10.0136

at 27 Feb 2026

SCBSB6M71

SCB Sovereign Bond 6M71

Risk Level

3

NAV
(Based on Fund Currency)

10.0105

at 27 Feb 2026

SCBSB3M84

SCB Sovereign Bond 3M84

Risk Level

3

NAV
(Based on Fund Currency)

9.9894

at 27 Feb 2026

SCBSB3M83

SCB Sovereign Bond 3M83

Risk Level

3

NAV
(Based on Fund Currency)

10.0073

at 27 Feb 2026

SCBSB6M70

SCB Sovereign Bond 6M70

Risk Level

3

NAV
(Based on Fund Currency)

10.0234

at 27 Feb 2026

SCBSB6M69

SCB Sovereign Bond 6M69

Risk Level

3

NAV
(Based on Fund Currency)

10.0125

at 27 Feb 2026

SCBSB3M82

SCB Sovereign Bond 3M82

Risk Level

3

NAV
(Based on Fund Currency)

10.0359

at 27 Feb 2026

SCBSB3M81

SCB Sovereign Bond 3M81

Risk Level

3

NAV
(Based on Fund Currency)

10.0430

at 27 Feb 2026

SCBSB6M68

SCB Sovereign Bond 6M68

Risk Level

3

NAV
(Based on Fund Currency)

10.0168

at 27 Feb 2026

SCBSB6M67

SCB Sovereign Bond 6M67

Risk Level

3

NAV
(Based on Fund Currency)

10.0144

at 27 Feb 2026

SCBSB3M80

SCB Sovereign Bond 3M80

Risk Level

3

NAV
(Based on Fund Currency)

10.0558

at 27 Feb 2026

SCBSB6M66

SCB Sovereign Bond 6M66

Risk Level

3

NAV
(Based on Fund Currency)

10.0166

at 27 Feb 2026

SCBSB3M79

SCB Sovereign Bond 3M79

Risk Level

3

NAV
(Based on Fund Currency)

10.0239

at 27 Feb 2026

SCBSB6M65

SCB Sovereign Bond 6M65

Risk Level

3

NAV
(Based on Fund Currency)

10.0688

at 27 Feb 2026

SCBSB3M78

SCB Sovereign Bond 3M78

Risk Level

3

NAV
(Based on Fund Currency)

10.0117

at 27 Feb 2026

SCBSB3M77

SCB Sovereign Bond 3M77

Risk Level

3

NAV
(Based on Fund Currency)

10.0080

at 27 Feb 2026

SCBSB6M64

SCB Sovereign Bond 6M64

Risk Level

3

NAV
(Based on Fund Currency)

9.9522

at 27 Feb 2026

SCBSB6M63

SCB Sovereign Bond 6M63

Risk Level

3

NAV
(Based on Fund Currency)

10.0350

at 27 Feb 2026

SCBSB3M76

SCB Sovereign Bond 3M76

Risk Level

3

NAV
(Based on Fund Currency)

10.0015

at 27 Feb 2026

SCBSB3M75

SCB Sovereign Bond 3M75

Risk Level

3

NAV
(Based on Fund Currency)

10.0878

at 27 Feb 2026

SCBSB6M62

SCB Sovereign Bond 6M62

Risk Level

3

NAV
(Based on Fund Currency)

9.9549

at 27 Feb 2026

SCBSB6M61

SCB Sovereign Bond 6M61

Risk Level

3

NAV
(Based on Fund Currency)

10.0274

at 27 Feb 2026

SCBSB3M74

SCB Sovereign Bond 3M74

Risk Level

3

NAV
(Based on Fund Currency)

10.0230

at 27 Feb 2026

SCBSB3M73

SCB Sovereign Bond 3M73

Risk Level

3

NAV
(Based on Fund Currency)

10.0245

at 26 Feb 2026

SCBSB6M60

SCB Sovereign Bond 6M60

Risk Level

3

NAV
(Based on Fund Currency)

9.9467

at 27 Feb 2026

SCBSB6M59

SCB Sovereign Bond 6M59

Risk Level

3

NAV
(Based on Fund Currency)

10.0304

at 27 Feb 2026

SCBSB3M72

SCB Sovereign Bond 3M72

Risk Level

3

NAV
(Based on Fund Currency)

10.0232

at 19 Feb 2026

SCBSB3M71

SCB Sovereign Bond 3M71

Risk Level

3

NAV
(Based on Fund Currency)

10.0232

at 12 Feb 2026

SCBSB6M58

SCB Sovereign Bond 6M58

Risk Level

3

NAV
(Based on Fund Currency)

10.0414

at 27 Feb 2026

SCBSB6M57

SCB Sovereign Bond 6M57

Risk Level

3

NAV
(Based on Fund Currency)

10.0341

at 27 Feb 2026

SCBSB3M70

SCB Sovereign Bond 3M70

Risk Level

3

NAV
(Based on Fund Currency)

10.0232

at 5 Feb 2026

SCBSB6M55

SCB Sovereign Bond 6M55

Risk Level

3

NAV
(Based on Fund Currency)

10.0387

at 27 Feb 2026

SCBSB6M56

SCB Sovereign Bond 6M56

Risk Level

3

NAV
(Based on Fund Currency)

10.0375

at 27 Feb 2026

SCBSB6M32

SCB Sovereign Bond 6M32

Risk Level

3

NAV
(Based on Fund Currency)

10.0431

at 27 Feb 2026

SCBSB6M54

SCB Sovereign Bond 6M54

Risk Level

3

NAV
(Based on Fund Currency)

10.0427

at 27 Feb 2026

SCBSB6M53

SCB Sovereign Bond 6M53

Risk Level

3

NAV
(Based on Fund Currency)

10.0443

at 27 Feb 2026

SCBSB6M30

SCB Sovereign Bond 6M30

Risk Level

3

NAV
(Based on Fund Currency)

10.0497

at 27 Feb 2026

SCBSB6M52

SCB Sovereign Bond 6M52

Risk Level

3

NAV
(Based on Fund Currency)

10.0521

at 27 Feb 2026

SCBSB6M51

SCB Sovereign Bond 6M51

Risk Level

3

NAV
(Based on Fund Currency)

10.0515

at 27 Feb 2026

SCBSB6M50

SCB Sovereign Bond 6M50

Risk Level

3

NAV
(Based on Fund Currency)

10.0552

at 27 Feb 2026

SCBSB6M49

SCB Sovereign Bond 6M49

Risk Level

3

NAV
(Based on Fund Currency)

10.0576

at 27 Feb 2026

SCBSB6M48

SCB Sovereign Bond 6M48

Risk Level

3

NAV
(Based on Fund Currency)

10.0579

at 10 Feb 2026

SCBSB6M47

SCB Sovereign Bond 6M47

Risk Level

3

NAV
(Based on Fund Currency)

10.0620

at 10 Feb 2026

SCBASF1YAF

SCB Foreign Fixed Income Fund 1YAF Not for Retail Investors

Risk Level

4

NAV
(Based on Fund Currency)

10.1045

at 27 Feb 2026

SCBASF1YH7

SCB Foreign Fixed Income Fund 1YH7 Not for Retail Investors

Risk Level

4

NAV
(Based on Fund Currency)

10.1096

at 27 Feb 2026

SCBASF1YH6

SCB Foreign Fixed Income Fund 1YH6 Not for Retail Investors

Risk Level

4

NAV
(Based on Fund Currency)

10.1117

at 27 Feb 2026

SCBASF1YH5

SCB Foreign Fixed Income Fund 1YH5 Not for Retail Investors

Risk Level

4

NAV
(Based on Fund Currency)

10.1109

at 27 Feb 2026

SCBASF1YH4

SCB Foreign Fixed Income Fund 1YH4 Not for Retail Investors

Risk Level

4

NAV
(Based on Fund Currency)

10.1193

at 27 Feb 2026

SCBASF1YH3

SCB Foreign Fixed Income Fund 1YH3 Not for Retail Investors

Risk Level

4

NAV
(Based on Fund Currency)

10.1230

at 27 Feb 2026

SCBASF1YH2

SCB Foreign Fixed Income Fund 1YH2 Not for Retail Investors

Risk Level

4

NAV
(Based on Fund Currency)

10.2177

at 13 Feb 2026

Selected 0 Fund(s)

Order By

Order By

Fund Search