First Plus Equity Dividend Fund
Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
---|---|---|---|---|---|
01/03/2012 | 120,511,393.26 | 11.9527 | 11.9827 | 11.9228 | |
29/02/2012 | 120,668,105.89 | 11.9140 | 11.9439 | 11.8842 | |
28/02/2012 | 119,124,730.92 | 11.7616 | 11.7911 | 11.7322 | |
27/02/2012 | 117,837,036.05 | 11.6345 | 11.6637 | 11.6054 | |
24/02/2012 | 118,846,834.20 | 11.7342 | 11.7636 | 11.7049 | |
23/02/2012 | 118,447,323.97 | 11.6948 | 11.7241 | 11.6656 | |
22/02/2012 | 118,438,864.37 | 11.6939 | 11.7232 | 11.6647 | |
21/02/2012 | 118,812,068.33 | 11.7308 | 11.7602 | 11.7015 | |
20/02/2012 | 118,832,113.49 | 11.6751 | 11.7044 | 11.6459 | |
17/02/2012 | 118,245,494.11 | 11.6175 | 11.6466 | 11.5885 |