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 17/10/2025 10,374,120.95 12.1044 0.0025 12.1045 12.1044
股票基金
FP TTG6M1 17/10/2025 10,569,057.30 6.9081 -0.6629 6.9082 6.9081
FP THEQ 17/10/2025 29,842,424.91 25.9181 -0.7232 25.9830 25.9181
FP EQ DIV 17/10/2025 19,338,180.51 9.6514 -0.9889 9.6756 9.6514
FP EQ 17/10/2025 3,313,160.85 26.8132 -0.7834 26.8803 26.8132
外国投资基金(FIF)
FP CNGLOV 16/10/2025 1,234,041,958.24 11.6338 1.1125 11.7502 11.6338
FP APREIT-A 17/10/2025 92,345,696.38 9.9311 -0.0735 10.0802 9.9311
FP APREIT-R 17/10/2025 56,613,241.13 9.9297 -0.0725 10.0787 9.9297
FP ASIAN SM 16/10/2025 138,551,185.35 22.2877 0.3702 22.6221 22.2877
FP DRAGON 16/10/2025 98,557,714.51 16.2587 -0.4189 16.5027 16.2587
FP EE EURO 16/10/2025 37,162,996.83 6.9692 -0.2733 7.0738 6.9692
FP HCARE-A 16/10/2025 28,971,972.56 17.5339 0.5090 17.7970 17.5339
FP HCARE-D 16/10/2025 13,707,387.89 9.9356 0.5099 10.0847 9.9356
FP INDIA-A 16/10/2025 52,138,726.58 20.3971 0.5576 20.7032 20.3971
FP INDIA-D 16/10/2025 13,785,179.19 9.4612 0.5569 9.6032 9.4612
FP SENERGY-A 16/10/2025 1,238,818.27 12.8187 -0.3723 13.0111 12.8187
FP USBANK-A 16/10/2025 14,078,316.47 9.9293 -3.4528 10.0783 9.9293
Thailand ESG Extra Fund (ThaiESGX)
FP ThaiESGX-N 17/10/2025 365,422.70 10.0410 -0.8032 10.0411 10.0410
FP ThaiESGX-SW 17/10/2025 107,302,299.80 10.0762 -0.8023 10.0763 10.0762
Thailand ESG Funds (ThaiESG)
FP ThaiESG-A 17/10/2025 2,779,526.82 7.9497 -0.6846 7.9498 7.9497
FP ThaiESG-D 17/10/2025 1,419,889.02 7.9403 -0.6854 7.9404 7.9403
养老公募基金(RMF)
FP ASM RMF 16/10/2025 55,793,737.45 12.0293 0.3680 12.0294 12.0293
FP FLEX RMF 17/10/2025 29,896,317.65 19.9858 -0.2550 19.9859 19.9858
超级储蓄基金(SSF)
FP EQ SSF 17/10/2025 27,662,983.96 26.8283 -0.7833 0.0000 26.8283
FP SENERGY-SSF 16/10/2025 2,653,905.57 12.8050 -0.3727 0.0000 12.8050
长期股票基金(LTF)
FP LTF 17/10/2025 359,741,074.83 27.1740 -0.7828 0.0000 27.1740
公募基金公积金
FP FIPVD 17/10/2025 50,344,786.49 10.9610 -0.0192 10.9611 10.9610
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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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