First Plus Equity Dividend Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 07/02/2019 | 165,159,015.87 | 10.6531 | 10.6798 | 10.6531 | |
| 06/02/2019 | 165,564,929.46 | 10.6787 | 10.7055 | 10.6787 | |
| 05/02/2019 | 165,140,286.26 | 10.6430 | 10.6697 | 10.6430 | |
| 04/02/2019 | 165,181,714.99 | 10.6457 | 10.6724 | 10.6457 | |
| 01/02/2019 | 164,906,426.76 | 10.6305 | 10.6572 | 10.6305 | |
| 31/01/2019 | 164,083,101.49 | 10.5774 | 10.6039 | 10.5774 | |
| 30/01/2019 | 163,261,851.67 | 10.5245 | 10.5509 | 10.5245 | |
| 29/01/2019 | 162,626,395.10 | 10.4837 | 10.5100 | 10.4837 | |
| 28/01/2019 | 162,533,396.65 | 10.4790 | 10.5053 | 10.4790 | |
| 25/01/2019 | 162,664,007.49 | 10.4874 | 10.5137 | 10.4874 |