type "unit trust monitoring system" then select www.vestwa.com/....
key in your ID and Password
After login,
click "Funds" then select"fund pricing"
click the date column, then select the pricing date of the day
then click "view all" to select "Unit Trust Management Company"
then click "create new"
A New screen will pop up
the untick the blank check box. This is to clear the tick on each fund price
then key in the daily price of the fund to relevant column on "price"
then tick the "check box" of relevant fund.
then click "save" button
Note:
Use "Edit" to change any mistakes key in if any
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