Fund Name Date Asset Size (Baht) NAV Change (%) Offer/Switch In Bid/Switch Out
Money Market Fund
FP MONEY 29/12/2025 25,816,903.09 12.1146 0.0074 12.1148 12.1147
Equity Funds
FP TTG6M1 29/12/2025 10,576,917.42 6.9126 -0.7067 6.9127 6.9126
FP THEQ 29/12/2025 29,336,398.39 25.6846 -0.7374 25.7489 25.6846
FP EQ DIV 29/12/2025 19,319,157.67 10.0518 -0.3154 10.0770 10.0518
FP LARGEA 29/12/2025 3,423,665.41 26.8708 -0.7656 26.9381 26.8708
FP LARGEL 29/12/2025 336,939,325.10 27.2469 -0.7634 0.0000 27.2469
Foreign Investment Funds (FIF)
FP CNGLOV 24/12/2025 719,131,840.00 11.0565 0.5813 11.1672 11.0565
FP APREIT-A 29/12/2025 85,970,083.07 9.4929 1.2997 9.6354 9.4929
FP APREIT-R 29/12/2025 53,540,874.15 9.4916 1.2999 9.6341 9.4916
FP ASIAN SM 23/12/2025 128,904,248.91 21.1269 -0.3180 21.4439 21.1269
FP DRAGON 23/12/2025 86,643,741.11 14.9486 -0.3745 15.1729 14.9486
FP EE EURO 24/12/2025 30,934,701.94 7.3193 -0.1269 7.4292 7.3193
FP HCARE-A 23/12/2025 29,005,975.03 18.3421 0.2410 18.6173 18.3421
FP HCARE-D 23/12/2025 9,188,732.18 10.1399 0.2412 10.2921 10.1399
FP INDIA-A 23/12/2025 48,197,880.62 19.2666 -0.6057 19.5557 19.2666
FP INDIA-D 23/12/2025 13,026,965.61 8.7285 -0.6069 8.8595 8.7285
FP SENERGY-A 23/12/2025 1,290,654.79 12.8105 -0.7023 13.0028 12.8105
FP USBANK-A 24/12/2025 12,593,815.46 10.4243 -0.7946 10.5808 10.4243
Thailand ESG Extra Fund (ThaiESGX)
FP ThaiESGX-N 29/12/2025 366,953.09 10.0831 -0.6552 10.0832 10.0831
FP ThaiESGX-SW 29/12/2025 107,727,014.50 10.1218 -0.6556 10.1219 10.1218
FP ThaiESGX-N2026 (Available in 2026) 29/12/2025 0.00 0.0000 0.0000 0.0000 0.0000
Thailand ESG Funds (ThaiESG)
FP ThaiESG-A 29/12/2025 2,787,355.18 7.8871 -0.3915 7.8872 7.8871
FP ThaiESG-D 29/12/2025 1,444,016.14 7.8767 -0.3908 7.8768 7.8767
Retirement Mutual Funds (RMF)
FP ASM RMF 23/12/2025 51,057,108.59 11.3579 -0.3168 11.3580 11.3579
FP FLEX RMF 29/12/2025 30,010,787.48 20.1097 -0.1475 20.1098 20.1097
Super Savings Funds (SSF)
FP LARGE SSF 29/12/2025 27,449,774.08 26.8855 -0.7655 0.0000 26.8855
FP SENERGY-SSF 23/12/2025 2,792,737.02 12.8000 -0.7021 0.0000 12.8000
Mutual Fund for Provident Fund
FP FIPVD 29/12/2025 51,185,576.33 11.0093 0.0618 11.0094 11.0093
Remark
  • The NAV (on T) of Local Funds and Foreign Investment Funds (FIFs) except FP SENERGY-A and FP SENERGY-SSF will be announced through website by 10.00 a.m. and 1.00 p.m. on the next business day (on T+1) respectively. 
  • The NAV (on T) of FP SENERGY-A and FP SENERGY-SSF will be announced through website by 1.00 p.m. on the next 2 business days (on T+2). 
  • In case of the non-trading day of Foreign Investment Funds (FIFs), their current prices will be shown as of the latest trading date.
  • LTF shall no longer offer tax deductibility against taxable income, with effect from January 1, 2020.  Consequently, FP LTF (Tax Class) shall not open for new subscription from January 2, 2020 onwards. Only the switching transaction from other AMC’s LTFs (with the same Tax deduction conditions) into this FP LTF (Tax class) is allowed.
  • SSF shall no longer offer tax deductibility against taxable income, with effect from January 1, 2025.  Consequently, SSF Class shall not open for new subscription from January 2, 2025 onwards. Only the switching transaction from other AMC’s SSFs (with the same Tax deduction conditions) into this SSF is allowed.

If you would like to receive the NAV of Local Funds at the end of the business day (on T) via e-mail on a daily basis, please inform your e-mail to fpamth-distribution@firstplus.com

* Investment involves risks. Investors should carefully study the product features, terms and conditions, performance and risk factors before making investment decisions. Past performance is not indicative of future performance. For investment in the funds with offshore investment exposure and without full hedging of currency risk, investors may experience currency losses or profits, or get back less than their initial investment.

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