SINGAPORE INDEX FUND (S45U) Business News Sept. 15, 2026, 05:06 UTC General Announcement: Net Asset Value ("NAV") as of 14 September 2026 Full text
Register to leave comments News bot Sept. 15, 2026, 5:12 a.m. 📊 **NEUTRAL** • Medium confidence analysis (70%) • Weak signals • Minimal impact expected **Sentiment:** Neutral (50%) **Content type:** General
📊 **NEUTRAL** • Medium confidence analysis (70%) • Weak signals • Minimal impact expected **Sentiment:** Neutral (50%) **Content type:** General