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Prices as of Jul 21, 2026 13:00 WAT · trade date July 21, 2026
SI

SIAMLETF40

Unknown NGX

SIAMLETF40 Plc

₦3,155.00 ₦0.00 (0.00%)

closing price · trade date July 03, 2026

Price
₦3,155.00
July 03, 2026
0.00%

Key Trading Data

Latest imported Nigerian Exchange session data.

Open
₦3,155.00
Previous close
₦3,155.00
High
₦3,155.00
Low
₦3,155.00
Volume
0
Value traded
₦0.00
Trades
Not reported
Market
XNSA
Currency
NGN

About SIAMLETF40 Plc

SIAMLETF40 is an Exchange Traded Fund (ETF) listed on the Nigerian Exchange and managed by Stanbic IBTC Asset Management. The fund provides investors with diversified exposure to a selected basket of Nigerian equities. As an exchange-listed ETF, SIAMLETF40 can be traded on the NGX, subject to available market liquidity.

SIAMLETF40 is an Exchange Traded Fund (ETF) structured to offer investors access to a portfolio of assets listed on the Nigerian Exchange. The ETF is designed to track a Pension 40-style benchmark index, offering exposure in the Nigerian capital market.

Managed by Stanbic IBTC Asset Management Limited, the ETF is designed to provide institutional and retail investors with intraday tradability, subject to available market liquidity. By pooling investor capital, the ETF is expected to track its benchmark index, subject to its prospectus and applicable fees.

As an investment instrument on the NGX, SIAMLETF40 helps investors achieve diversification without the need to purchase individual underlying equities. As an NGX-listed ETF, the fund is subject to SEC Nigeria regulation and NGX listing requirements.

Fund Manager
Stanbic IBTC Asset Management Limited
Asset Class
Exchange Traded Fund (ETF)
Exchange
Nigerian Exchange (NGX)
Currency
NGN

Fundamentals & Ratios

Company metrics where available.

Listing Category
Exchange Traded Funds

Investment Objective

The ETF is expected to track a Pension 40-style benchmark index, subject to its prospectus and applicable fees.

Fund Management and Governance

The fund is managed by Stanbic IBTC Asset Management Limited, which oversees portfolio management and regulatory compliance in accordance with its guidelines.

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