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 02/09/2025 9,869,461.50 12.0929 0.0017 12.0930 12.0929
股票基金
FP TTG6M1 02/09/2025 10,573,513.27 6.9111 0.3703 6.9112 6.9111
FP THEQ 02/09/2025 30,302,442.38 25.9531 0.4105 26.0181 25.9531
FP EQ DIV 02/09/2025 19,732,696.85 9.6242 0.0603 9.6484 9.6242
FP EQ 02/09/2025 3,277,337.59 26.9479 0.4675 27.0154 26.9479
外国投资基金(FIF)
FP CNGLOV 01/09/2025 108,925,252.86 12.1051 2.5387 12.2263 12.1051
FP APREIT-A 02/09/2025 95,002,870.20 9.7560 -0.5809 9.9024 9.7560
FP APREIT-R 02/09/2025 56,174,469.19 9.7546 -0.5809 9.9010 9.7546
FP ASIAN SM 01/09/2025 132,258,971.71 20.8227 0.6248 21.1351 0.0000
FP DRAGON 01/09/2025 99,251,254.66 15.7948 2.2105 16.0318 0.0000
FP EE EURO 01/09/2025 32,952,257.34 7.1263 -0.1149 7.2333 0.0000
FP HCARE-A 29/08/2025 25,936,721.62 16.3078 0.2120 16.5525 16.3078
FP HCARE-D 29/08/2025 12,248,766.99 9.2408 0.2126 9.3795 9.2408
FP INDIA-A 01/09/2025 51,220,137.87 19.8991 1.2069 20.1977 0.0000
FP INDIA-D 01/09/2025 14,111,088.41 9.2305 1.2061 9.3691 0.0000
FP SENERGY-A 29/08/2025 1,260,753.04 11.6235 -1.4632 11.7980 11.6235
FP USBANK-A 29/08/2025 16,387,738.37 10.6788 -0.0562 10.8391 10.6788
Thailand ESG Extra Fund (ThaiESGX)
FP ThaiESGX-N 02/09/2025 367,590.48 10.1006 0.4765 10.1007 10.1006
FP ThaiESGX-SW 02/09/2025 108,580,549.63 10.1359 0.4758 10.1360 10.1359
Thailand ESG Funds (ThaiESG)
FP ThaiESG-A 02/09/2025 2,796,493.54 8.0131 0.2001 8.0132 8.0131
FP ThaiESG-D 02/09/2025 1,427,016.26 8.0046 0.2015 8.0047 8.0046
养老公募基金(RMF)
FP ASM RMF 01/09/2025 52,108,861.60 11.2486 0.6199 11.2487 0.0000
FP FLEX RMF 02/09/2025 30,125,145.43 20.0665 0.1672 20.0666 20.0665
超级储蓄基金(SSF)
FP EQ SSF 02/09/2025 27,905,269.27 26.9625 0.4676 0.0000 26.9625
FP SENERGY-SSF 29/08/2025 2,310,856.72 11.6100 -1.4632 0.0000 11.6100
长期股票基金(LTF)
FP LTF 02/09/2025 372,442,996.52 27.3010 0.4681 0.0000 27.3010
公募基金公积金
FP FIPVD 02/09/2025 52,248,760.84 10.9834 0.0419 10.9835 10.9834
评论
  • 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]

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