First Plus Fixed Income Fund for Provident Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 24/11/2022 | 8,544,152.70 | 9.9599 | 0.0904 | 9.9600 | 9.9599 |
| 23/11/2022 | 8,536,469.27 | 9.9509 | 0.0201 | 9.9510 | 9.9509 |
| 22/11/2022 | 8,534,755.54 | 9.9489 | 0.0684 | 9.9490 | 9.9489 |
| 21/11/2022 | 8,528,933.67 | 9.9421 | -0.0533 | 9.9422 | 9.9421 |
| 18/11/2022 | 8,533,478.80 | 9.9474 | -0.0261 | 9.9475 | 9.9474 |
| 17/11/2022 | 8,535,661.00 | 9.9500 | 0.0221 | 9.9501 | 9.9500 |
| 16/11/2022 | 8,533,825.54 | 9.9478 | -0.0583 | 9.9479 | 9.9478 |
| 15/11/2022 | 8,538,740.97 | 9.9536 | 0.1187 | 9.9537 | 9.9536 |
| 14/11/2022 | 8,528,660.34 | 9.9418 | 0.0372 | 9.9419 | 9.9418 |
| 11/11/2022 | 8,525,439.16 | 9.9381 | 0.1249 | 9.9382 | 9.9381 |