First Plus Equity Dividend Fund
Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
---|---|---|---|---|---|
05/06/2013 | 138,090,929.91 | 11.5874 | 11.6165 | 11.5584 | |
04/06/2013 | 141,262,811.76 | 11.9038 | 11.9337 | 11.8740 | |
03/06/2013 | 138,883,821.55 | 11.7718 | 11.8013 | 11.7424 | |
31/05/2013 | 141,082,780.33 | 11.9878 | 12.0179 | 11.9578 | |
30/05/2013 | 142,679,870.80 | 12.1421 | 12.1726 | 12.1117 | |
29/05/2013 | 144,628,434.94 | 12.3084 | 12.3393 | 12.2776 | |
28/05/2013 | 145,460,305.87 | 12.3965 | 12.4276 | 12.3655 | |
27/05/2013 | 142,194,742.60 | 12.1628 | 12.1933 | 12.1324 | |
23/05/2013 | 143,317,890.47 | 12.2973 | 12.3281 | 12.2666 | |
22/05/2013 | 145,642,835.57 | 12.4982 | 12.5295 | 12.4670 |