First Plus Long-Term Equity Fund-Tax
Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
---|---|---|---|---|---|
28/10/2009 | 115,444,122.62 | 11.0446 | 11.0447 | 11.0170 | |
27/10/2009 | 117,496,161.81 | 11.2409 | 11.2410 | 11.2128 | |
26/10/2009 | 116,951,456.48 | 11.1936 | 11.1937 | 11.1656 | |
22/10/2009 | 116,472,593.41 | 11.1526 | 11.1527 | 11.1247 | |
21/10/2009 | 117,970,047.42 | 11.3007 | 11.3008 | 11.2724 | |
20/10/2009 | 119,660,127.70 | 11.4626 | 11.4627 | 11.4339 | |
19/10/2009 | 120,710,836.06 | 11.5729 | 11.5730 | 11.5440 | |
16/10/2009 | 118,095,175.90 | 11.3255 | 11.3256 | 11.2972 | |
15/10/2009 | 113,731,511.53 | 10.9568 | 10.9569 | 10.9294 | |
14/10/2009 | 120,197,088.33 | 11.5855 | 11.5856 | 11.5565 |