First Plus Equity Dividend Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 23/11/2015 | 166,230,561.68 | 9.5328 | 9.5567 | 9.5328 | |
| 20/11/2015 | 166,469,449.97 | 9.5465 | 9.5705 | 9.5465 | |
| 19/11/2015 | 165,402,292.06 | 9.4854 | 9.5092 | 9.4854 | |
| 18/11/2015 | 164,068,393.62 | 9.4089 | 9.4325 | 9.4089 | |
| 17/11/2015 | 165,511,630.68 | 9.4939 | 9.5177 | 9.4939 | |
| 16/11/2015 | 165,159,632.86 | 9.4743 | 9.4981 | 9.4743 | |
| 13/11/2015 | 164,443,039.05 | 9.4334 | 9.4571 | 9.4334 | |
| 12/11/2015 | 164,507,837.65 | 9.4371 | 9.4608 | 9.4371 | |
| 11/11/2015 | 165,680,468.78 | 9.5046 | 9.5285 | 9.5046 | |
| 10/11/2015 | 166,577,509.98 | 9.5568 | 9.5808 | 9.5568 |