Skip to content

Nav Rates

October 29, 2025

MONEY ACCUMULATOR NAVPU
Dollar Bond Fund
1.5045
Peso Equity Fund
1.4816
Peso Fixed Income Fund
1.9379
Peso Income and Growth Fund
0.0000
Peso Bond Fund
1.3623
FEEDER FUNDS NAVPU
Cocolife Global Consumer Trends Fund
1.8406
Cocolife Asian Multi-Asset Income Fund
1.2343
*For deposits received or funds due for re-setting for the period 10/01/2025 – 10/31/2025, inclusive, for a fixed term of one (1) year.
US Dollar Guaranteed Fund
USD 2.00%*
Peso Guaranteed Fund
PHP 0.50%*
Peso Medium Term Guaranteed Fund
PHP 0.00%*
Peso Long Term Guaranteed Fund
PHP 0.00%*
Chat with Us

FUND PERFORMANCE FOR THE WEEK
October 20 - 24, 2025
NET ASSET VALUE PER UNIT (NAVPU)

MONEY ACCUMULATOR 10/20 10/21 10/22 10/23 10/24
Dollar Bond Fund
1.4970
1.4980
1.5002
1.5015
1.5003
Peso Equity Fund
1.5061
1.5070
1.4972
1.4954
1.4322
Peso Fixed Income Fund
1.9376
1.9377
1.9381
1.9383
1.9377
Peso Income and Growth Fund
-
-
-
-
-
Peso Bond Fund
1.3615
1.3618
1.3622
1.3622
1.3620
FEEDER FUNDS 10/20 10/21 10/22 10/23 10/24
Cocolife Global Consumer Trends Fund
1.8000
1.7223
1.7463
1.7490
1.7486
Cocolife Asian Multi-Asset Income Fund
1.1823
1.1747
1.2035
1.2070
1.2084

Login or Create an account as