First Plus Fixed Income Fund for Provident Fund
Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
---|---|---|---|---|---|
02/10/2025 | 52,520,092.48 | 10.9775 | -0.0100 | 10.9776 | 10.9775 |
01/10/2025 | 52,525,716.63 | 10.9786 | 0.0310 | 10.9787 | 10.9786 |
30/09/2025 | 52,509,440.36 | 10.9752 | 0.0830 | 10.9753 | 10.9752 |
29/09/2025 | 52,465,957.05 | 10.9661 | 0.0739 | 10.9662 | 10.9661 |
26/09/2025 | 52,426,881.06 | 10.9580 | -0.0739 | 10.9581 | 10.9580 |
25/09/2025 | 52,465,940.32 | 10.9661 | -0.1029 | 10.9662 | 10.9661 |
24/09/2025 | 52,519,862.44 | 10.9774 | -0.0137 | 10.9775 | 10.9774 |
23/09/2025 | 52,526,903.43 | 10.9789 | -0.0264 | 10.9790 | 10.9789 |
22/09/2025 | 52,540,665.97 | 10.9818 | 0.0273 | 10.9819 | 10.9818 |
19/09/2025 | 52,526,703.47 | 10.9788 | 0.0282 | 10.9789 | 10.9788 |