First Plus Fixed Income Fund for Provident Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Switch Out |
|---|---|---|---|---|---|
| 16/07/2026 | 40,483,517.40 | 11.0757 | 0.0587 | 11.0758 | 11.0757 |
| 15/07/2026 | 40,609,591.32 | 11.0692 | 0.0714 | 11.0693 | 11.0692 |
| 14/07/2026 | 40,580,515.00 | 11.0613 | -0.1021 | 11.0614 | 11.0613 |
| 13/07/2026 | 40,622,032.82 | 11.0726 | -0.0460 | 11.0727 | 11.0726 |
| 10/07/2026 | 40,640,699.39 | 11.0777 | 0.0307 | 11.0778 | 11.0777 |
| 09/07/2026 | 43,428,454.50 | 11.0743 | 0.0307 | 11.0744 | 11.0743 |
| 08/07/2026 | 43,414,848.27 | 11.0709 | -0.0524 | 11.0710 | 11.0709 |
| 07/07/2026 | 43,437,633.30 | 11.0767 | -0.0181 | 11.0768 | 11.0767 |
| 06/07/2026 | 43,445,614.61 | 11.0787 | 0.1926 | 11.0788 | 11.0787 |
| 03/07/2026 | 43,361,860.31 | 11.0574 | 0.0452 | 11.0575 | 11.0574 |