Singapore, Sept. 22 -- SINGAPORE INDEX FUND made the following announcement:

Security Name: SINGAPORE INDEX FUND

General Announcement::Net Asset Value ("NAV") as of 18 September 2026 (https://links.sgx.com/1.0.0/corporate-announcements/QE6GKLDGYJKQ85RN/9a6385d7aa92331a52ecbf29a836156b12da9411a5dda189a1b284ec59cf4f0e)

Published by HT Digital Content Services with permission from South East Asian News....