First Plus Equity Dividend Fund
Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
---|---|---|---|---|---|
17/09/2014 | 152,065,026.34 | 10.7818 | 10.8089 | 10.7818 | |
16/09/2014 | 151,123,687.79 | 10.7191 | 10.7460 | 10.7191 | |
15/09/2014 | 151,671,593.03 | 10.8146 | 10.8417 | 10.8146 | |
12/09/2014 | 148,644,294.30 | 11.1965 | 11.2246 | 11.1965 | |
11/09/2014 | 147,640,442.73 | 11.2017 | 11.2298 | 11.2017 | |
10/09/2014 | 146,411,600.61 | 11.2186 | 11.2467 | 11.2186 | |
09/09/2014 | 146,744,339.18 | 11.2441 | 11.2723 | 11.2441 | |
08/09/2014 | 146,863,307.74 | 11.2532 | 11.2814 | 11.2532 | |
05/09/2014 | 146,475,577.73 | 11.2429 | 11.2711 | 11.2429 | |
04/09/2014 | 145,649,782.91 | 11.2180 | 11.2461 | 11.2180 |