First Plus Fixed Income Fund for Provident Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 03/12/2024 | 67,607,374.24 | 10.5449 | 0.0702 | 10.5450 | 10.5449 |
| 02/12/2024 | 67,559,865.77 | 10.5375 | 0.0589 | 10.5376 | 10.5375 |
| 29/11/2024 | 67,520,410.00 | 10.5313 | 0.0437 | 10.5314 | 10.5313 |
| 28/11/2024 | 67,490,357.41 | 10.5267 | 0.1179 | 10.5268 | 10.5267 |
| 27/11/2024 | 67,411,137.64 | 10.5143 | 0.0866 | 10.5144 | 10.5143 |
| 26/11/2024 | 67,352,663.75 | 10.5052 | 0.0686 | 10.5053 | 10.5052 |
| 25/11/2024 | 67,306,559.50 | 10.4980 | 0.0581 | 10.4981 | 10.4980 |
| 22/11/2024 | 67,267,471.46 | 10.4919 | 0.0362 | 10.4920 | 10.4919 |
| 21/11/2024 | 67,243,046.18 | 10.4881 | 0.0114 | 10.4882 | 10.4881 |
| 20/11/2024 | 67,235,413.95 | 10.4869 | 0.0267 | 10.4870 | 10.4869 |