First Plus Equity Dividend Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 28/03/2018 | 168,811,574.13 | 11.6211 | 11.6503 | 11.6211 | |
| 27/03/2018 | 170,301,005.17 | 11.7237 | 11.7531 | 11.7237 | |
| 26/03/2018 | 170,336,767.80 | 11.7231 | 11.7525 | 11.7231 | |
| 23/03/2018 | 169,593,387.12 | 11.6720 | 11.7013 | 11.6720 | |
| 22/03/2018 | 169,493,234.03 | 11.6634 | 11.6927 | 11.6634 | |
| 21/03/2018 | 169,494,021.56 | 11.6875 | 11.7168 | 11.6875 | |
| 20/03/2018 | 169,120,748.10 | 11.6673 | 11.6966 | 11.6673 | |
| 19/03/2018 | 169,135,185.94 | 11.6683 | 11.6976 | 11.6683 | |
| 16/03/2018 | 170,385,518.93 | 11.7546 | 11.7841 | 11.7546 | |
| 15/03/2018 | 170,835,367.33 | 11.7851 | 11.8147 | 11.7851 |