First Plus Equity Dividend Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 21/10/2016 | 144,843,293.71 | 10.4661 | 10.4924 | 10.4661 | |
| 20/10/2016 | 144,547,570.56 | 10.4448 | 10.4710 | 10.4448 | |
| 19/10/2016 | 143,667,063.56 | 10.3812 | 10.4073 | 10.3812 | |
| 18/10/2016 | 143,044,583.30 | 10.3363 | 10.3622 | 10.3363 | |
| 17/10/2016 | 145,317,825.28 | 10.3671 | 10.3931 | 10.3671 | |
| 14/10/2016 | 145,848,777.71 | 10.4028 | 10.4289 | 10.4028 | |
| 13/10/2016 | 141,976,550.98 | 9.9958 | 10.0209 | 9.9958 | |
| 12/10/2016 | 142,828,947.43 | 9.9017 | 9.9266 | 9.9017 | |
| 11/10/2016 | 145,769,893.80 | 10.1153 | 10.1407 | 10.1153 | |
| 10/10/2016 | 147,324,676.00 | 10.2271 | 10.2528 | 10.2271 |