当前净值

基金名称 日期 资产规模(泰铢 净值 变化率(%) 卖出价/转入价 买入价/转出价
货币市场基金
FP MONEY 02/12/2025 12,621,618.08 12.1166 0.0025 12.1167 12.1166
股票基金
FP TTG6M1 02/12/2025 10,371,421.21 6.7790 0.2484 6.7791 6.7790
FP THEQ 02/12/2025 28,936,786.68 25.2271 0.2635 25.2903 25.2271
FP EQ DIV 02/12/2025 19,139,465.54 9.8535 0.7423 9.8782 9.8535
FP EQ 02/12/2025 3,355,081.87 26.3482 0.3164 26.4142 26.3482
外国投资基金(FIF)
FP CNGLOV 01/12/2025 1,244,182,042.10 11.0901 0.2078 11.2011 11.0901
FP APREIT-A 02/12/2025 86,953,116.92 9.6004 0.5351 9.7445 9.6004
FP APREIT-R 02/12/2025 54,693,488.66 9.5990 0.5352 9.7431 9.5990
FP ASIAN SM 01/12/2025 131,568,631.90 21.3627 -0.5132 21.6832 21.3627
FP DRAGON 01/12/2025 88,104,458.40 15.3564 0.7063 15.5868 15.3564
FP EE EURO 01/12/2025 38,114,662.86 7.2025 1.1758 7.3106 7.2025
FP HCARE-A 01/12/2025 30,697,959.27 18.9202 -0.4048 19.2041 18.9202
FP HCARE-D 01/12/2025 10,442,858.96 10.7211 -0.4050 10.8820 10.7211
FP INDIA-A 01/12/2025 50,326,204.87 19.7830 -0.5340 20.0798 19.7830
FP INDIA-D 01/12/2025 13,312,643.21 9.1763 -0.5333 9.3140 9.1763
FP SENERGY-A 01/12/2025 1,208,687.70 12.8767 -1.3680 13.0700 12.8767
FP USBANK-A 01/12/2025 12,311,328.62 10.1696 0.0541 10.3222 10.1696
Thailand ESG Extra Fund (ThaiESGX)
FP ThaiESGX-N 02/12/2025 359,231.35 9.8709 0.1908 9.8710 9.8709
FP ThaiESGX-SW 02/12/2025 105,484,293.54 9.9054 0.1902 9.9055 9.9054
Thailand ESG Funds (ThaiESG)
FP ThaiESG-A 02/12/2025 2,735,351.41 7.8158 0.1653 7.8159 7.8158
FP ThaiESG-D 02/12/2025 1,425,015.09 7.8064 0.1655 7.8065 7.8064
养老公募基金(RMF)
FP ASM RMF 01/12/2025 51,625,087.79 11.4887 -0.5161 11.4888 11.4887
FP FLEX RMF 02/12/2025 29,654,564.71 19.9783 0.1138 19.9784 19.9783
超级储蓄基金(SSF)
FP EQ SSF 02/12/2025 27,183,327.13 26.3631 0.3166 0.0000 26.3631
FP SENERGY-SSF 01/12/2025 2,665,973.89 12.8632 -1.3687 0.0000 12.8632
长期股票基金(LTF)
FP LTF 02/12/2025 340,416,821.69 26.7118 0.3170 0.0000 26.7118
公募基金公积金
FP FIPVD 02/12/2025 50,886,407.38 10.9696 0.0173 10.9697 10.9696
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  • The NAV (on T) of Local Funds and Foreign Investment Funds (FIFs) except FP SENERGY-A and FP SENERGY-SSF will be announced through website by 10.00 a.m. and 1.00 p.m. on the next business day (on T+1) respectively. 
  • The NAV (on T) of FP SENERGY-A and FP SENERGY-SSF will be announced through website by 1.00 p.m. on the next 2 business days (on T+2). 
  • In case of the non-trading day of Foreign Investment Funds (FIFs), their current prices will be shown as of the latest trading date.
  • LTF shall no longer offer tax deductibility against taxable income, with effect from January 1, 2020.  Consequently, FP LTF (Tax Class) shall not open for new subscription from January 2, 2020 onwards. Only the switching transaction from other AMC’s LTFs (with the same Tax deduction conditions) into this FP LTF (Tax class) is allowed.

If you would like to receive the NAV of Local Funds at the end of the business day (on T) via e-mail on a daily basis, please inform your e-mail to [email protected]

* 投资有风险。在做出投资决策前,投资者应仔细研究产品的特点、条款和条件、业绩和风险因素。既往业绩/与资本市场产品之间的业绩比较并不表明未来的业绩如何。如果投资于存在离岸投资敞口但无货币风险充分对冲的基金,投资者可能经历货币损益,或者投资回报小于初始投资。

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