First Plus Equity Dividend Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 05/10/2020 | 125,796,478.32 | 8.2309 | 8.2516 | 8.2309 | |
| 02/10/2020 | 125,052,509.73 | 8.1822 | 8.2028 | 8.1822 | |
| 01/10/2020 | 125,610,199.71 | 8.2187 | 8.2393 | 8.2187 | |
| 30/09/2020 | 124,456,107.62 | 8.1432 | 8.1637 | 8.1432 | |
| 29/09/2020 | 126,367,995.05 | 8.2684 | 8.2892 | 8.2684 | |
| 28/09/2020 | 126,898,147.85 | 8.3031 | 8.3240 | 8.3031 | |
| 25/09/2020 | 125,135,902.21 | 8.1796 | 8.2001 | 8.1796 | |
| 24/09/2020 | 125,675,944.84 | 8.2149 | 8.2355 | 8.2149 | |
| 23/09/2020 | 127,647,802.15 | 8.3438 | 8.3648 | 8.3438 | |
| 22/09/2020 | 128,258,382.27 | 8.3837 | 8.4048 | 8.3837 |