KWI Fixed Income Fund for Provident Fund
Date | Asset Size (Baht) | NAV | Change (%) | Offer / Switch In | Bid / Swithc Out |
---|---|---|---|---|---|
17/03/2025 | 58,214,400.04 | 10.6401 | 0.0047 | 10.6402 | 10.6401 |
14/03/2025 | 58,211,623.67 | 10.6396 | 0.0386 | 10.6397 | 10.6396 |
13/03/2025 | 58,189,526.09 | 10.6355 | 0.0038 | 10.6356 | 10.6355 |
12/03/2025 | 59,187,044.03 | 10.6351 | 0.0179 | 10.6352 | 10.6351 |
11/03/2025 | 59,176,623.88 | 10.6332 | 0.0762 | 10.6333 | 10.6332 |
10/03/2025 | 59,131,614.21 | 10.6251 | 0.0348 | 10.6252 | 10.6251 |
07/03/2025 | 59,111,238.51 | 10.6214 | 0.0631 | 10.6215 | 10.6214 |
06/03/2025 | 59,073,727.29 | 10.6147 | -0.0367 | 10.6148 | 10.6147 |
05/03/2025 | 59,095,203.91 | 10.6186 | 0.0245 | 10.6187 | 10.6186 |
04/03/2025 | 59,080,838.13 | 10.6160 | 0.0311 | 10.6161 | 10.6160 |