First Plus Equity Dividend Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 30/01/2018 | 166,785,601.08 | 11.6285 | 11.6577 | 11.6285 | |
| 29/01/2018 | 167,437,624.77 | 11.6909 | 11.7202 | 11.6909 | |
| 26/01/2018 | 166,410,192.71 | 11.6193 | 11.6484 | 11.6193 | |
| 25/01/2018 | 165,598,508.37 | 11.5621 | 11.5911 | 11.5621 | |
| 24/01/2018 | 167,193,599.48 | 11.6734 | 11.7027 | 11.6734 | |
| 23/01/2018 | 167,242,049.67 | 11.6531 | 11.6823 | 11.6531 | |
| 22/01/2018 | 166,193,651.00 | 11.5800 | 11.6091 | 11.5800 | |
| 19/01/2018 | 165,976,821.83 | 11.5656 | 11.5946 | 11.5656 | |
| 18/01/2018 | 165,834,396.03 | 11.5557 | 11.5847 | 11.5557 | |
| 17/01/2018 | 166,802,269.12 | 11.6231 | 11.6523 | 11.6231 |