First Plus Equity Dividend Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 19/01/2017 | 149,609,981.74 | 10.6660 | 10.6928 | 10.6660 | |
| 18/01/2017 | 150,430,278.97 | 10.7246 | 10.7515 | 10.7246 | |
| 17/01/2017 | 151,100,415.24 | 10.7724 | 10.7994 | 10.7724 | |
| 16/01/2017 | 151,415,103.81 | 10.7949 | 10.8220 | 10.7949 | |
| 13/01/2017 | 152,146,654.54 | 10.8471 | 10.8743 | 10.8471 | |
| 12/01/2017 | 151,602,754.88 | 10.8084 | 10.8355 | 10.8084 | |
| 11/01/2017 | 151,984,557.30 | 10.8348 | 10.8620 | 10.8348 | |
| 10/01/2017 | 152,250,885.01 | 10.8414 | 10.8686 | 10.8414 | |
| 09/01/2017 | 151,373,152.65 | 10.7789 | 10.8059 | 10.7789 | |
| 06/01/2017 | 152,258,674.83 | 10.8420 | 10.8692 | 10.8420 |