First Plus Flexible Retirement Mutual Fund
Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
---|---|---|---|---|---|
30/10/2014 | 26,763,122.24 | 19.7798 | 19.7799 | 19.7798 | |
29/10/2014 | 26,753,730.66 | 19.7729 | 19.7730 | 19.7729 | |
28/10/2014 | 26,730,716.69 | 19.7559 | 19.7560 | 19.7559 | |
27/10/2014 | 26,600,121.99 | 19.6755 | 19.6756 | 19.6755 | |
24/10/2014 | 26,547,611.90 | 19.6366 | 19.6367 | 19.6366 | |
22/10/2014 | 26,443,316.08 | 19.5595 | 19.5596 | 19.5595 | |
21/10/2014 | 26,412,074.71 | 19.5364 | 19.5365 | 19.5364 | |
20/10/2014 | 26,417,937.25 | 19.5407 | 19.5408 | 19.5407 | |
17/10/2014 | 26,453,846.36 | 19.5673 | 19.5674 | 19.5673 | |
16/10/2014 | 26,437,736.28 | 19.5553 | 19.5554 | 19.5553 |