First Plus Fixed Income Fund for Provident Fund
| Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
|---|---|---|---|---|---|
| 16/03/2022 | 11,627,697.74 | 9.9946 | -0.0100 | 9.9947 | 9.9946 |
| 15/03/2022 | 11,628,953.56 | 9.9956 | 0.0080 | 9.9957 | 9.9956 |
| 14/03/2022 | 11,628,007.45 | 9.9948 | -0.0110 | 9.9949 | 9.9948 |
| 11/03/2022 | 11,629,317.60 | 9.9959 | 0.0100 | 9.9960 | 9.9959 |
| 10/03/2022 | 11,628,155.22 | 9.9949 | -0.0150 | 9.9950 | 9.9949 |
| 09/03/2022 | 11,629,793.45 | 9.9964 | -0.0180 | 9.9965 | 9.9964 |
| 08/03/2022 | 11,631,944.19 | 9.9982 | -0.0420 | 9.9983 | 9.9982 |
| 07/03/2022 | 11,636,866.84 | 10.0024 | 0.0020 | 10.0025 | 10.0024 |
| 04/03/2022 | 11,636,557.09 | 10.0022 | -0.0160 | 10.0023 | 10.0022 |
| 03/03/2022 | 11,638,508.46 | 10.0038 | -0.0010 | 10.0039 | 10.0038 |