First Plus Long-Term Equity Fund-Tax
Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
---|---|---|---|---|---|
08/01/2015 | 342,979,427.22 | 28.6705 | 28.6706 | 28.6705 | |
07/01/2015 | 338,042,901.34 | 28.2578 | 28.2579 | 28.2578 | |
06/01/2015 | 331,467,795.82 | 27.7082 | 27.7083 | 27.7082 | |
05/01/2015 | 333,891,239.85 | 27.8467 | 27.8468 | 27.8467 | |
31/12/2014 | 335,744,832.13 | 28.1500 | 28.1501 | 28.1500 | |
30/12/2014 | 335,758,611.19 | 28.1512 | 28.1513 | 28.1512 | |
29/12/2014 | 333,839,434.15 | 28.1242 | 28.1243 | 28.1242 | |
26/12/2014 | 333,405,369.30 | 28.3052 | 28.3053 | 28.3052 | |
25/12/2014 | 330,320,845.11 | 28.1523 | 28.1524 | 28.1523 | |
24/12/2014 | 334,484,584.68 | 28.5262 | 28.5263 | 28.5262 |