First Plus Long-Term Equity Fund-SSF
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 27/05/2020 | 199,678.73 | 30.3348 | 30.3349 | 30.3348 | |
| 26/05/2020 | 197,963.19 | 30.0742 | 30.0743 | 30.0742 | |
| 25/05/2020 | 195,986.12 | 29.7738 | 29.7739 | 29.7738 | |
| 22/05/2020 | 173,426.65 | 29.3850 | 29.3851 | 29.3850 | |
| 21/05/2020 | 169,777.33 | 29.7833 | 29.7834 | 29.7833 | |
| 20/05/2020 | 170,259.66 | 29.8679 | 29.8680 | 29.8679 | |
| 19/05/2020 | 69,075.87 | 29.6602 | 29.6603 | 29.6602 | |
| 18/05/2020 | 67,827.64 | 29.1242 | 29.1243 | 29.1242 | |
| 15/05/2020 | 62,470.41 | 28.9708 | 28.9709 | 28.9708 | |
| 14/05/2020 | 62,578.63 | 29.0210 | 29.0211 | 29.0210 |