Mutual Fund for Provident Fund

KWI FIPVD

KWI Fixed Income Fund for Provident Fund

NAV / UNIT
THB
10.4810 + 0.0029
15 November 2024

Historical NAV

Period
Date Asset Size (Baht) NAV Change (%) Offer / Switch In Bid / Swithc Out
15/07/2022 10,738,717.19 9.8906 -0.0020 9.8907 9.8906
14/07/2022 10,738,980.83 9.8908 -0.0949 9.8909 9.8908
12/07/2022 10,869,207.07 9.9002 0.0697 9.9003 9.9002
11/07/2022 10,861,564.69 9.8933 0.0415 9.8934 9.8933
08/07/2022 10,857,097.34 9.8892 0.0526 9.8893 9.8892
07/07/2022 10,851,334.78 9.8840 0.0283 9.8841 9.8840
06/07/2022 10,848,337.89 9.8812 0.1256 9.8813 9.8812
05/07/2022 10,834,658.32 9.8688 -0.0172 9.8689 9.8688
04/07/2022 10,686,579.38 9.8705 0.0547 9.8706 9.8705
01/07/2022 10,680,757.43 9.8651 0.0588 9.8652 9.8651
NAV (Baht/Unit)
* Investment involves risks. Investors should carefully study the product features, terms and conditions, performance and risk factors before making investment decisions. Past performance is not indicative of future performance. For investment in the funds with offshore investment exposure and without full hedging of currency risk, investors may experience currency losses or profits, or get back less than their initial investment.

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