MEGA 10 RETIREMENT MUTUAL FUND
Date NAV Total Net Asset Value(THB) Offer Bid Change
16/10/2025 22.0971 339,510,356.03 22.0972 22.0971 -0.0617
15/10/2025 22.1588 339,980,635.41 22.1589 22.1588 -0.0517
14/10/2025 22.2105 340,068,314.90 22.2106 22.2105 +0.1459
10/10/2025 22.0646 337,920,084.54 22.0647 22.0646 -0.4800
9/10/2025 22.5446 346,020,226.64 22.5447 22.5446 +0.1908
8/10/2025 22.3538 342,923,756.05 22.3539 22.3538 +0.1105
7/10/2025 22.2433 340,689,762.73 22.2434 22.2433 +0.0029
6/10/2025 22.2404 339,956,708.21 22.2405 22.2404 +0.1731
3/10/2025 22.0673 333,059,784.44 22.0674 22.0673 -0.0714
2/10/2025 22.1387 333,979,283.52 22.1388 22.1387 +0.0479
1/10/2025 22.0908 332,750,327.50 22.0909 22.0908 -0.0090
30/9/2025 22.0998 332,254,435.47 22.0999 22.0998 +0.0582
29/9/2025 22.0416 330,271,535.48 22.0417 22.0416 +0.0801
26/9/2025 21.9615 328,695,864.61 21.9616 21.9615 +0.0598
25/9/2025 21.9017 327,157,228.20 21.9018 21.9017 -0.0835
24/9/2025 21.9852 325,274,529.56 21.9853 21.9852 +0.0027
23/9/2025 21.9825 322,378,919.42 21.9826 21.9825 -0.3359
22/9/2025 22.3184 326,995,557.17 22.3185 22.3184 +0.1926
19/9/2025 22.1258 324,087,823.91 22.1259 22.1258 +0.2750
18/9/2025 21.8508 319,765,832.47 21.8509 21.8508 +0.0335
17/9/2025 21.8173 319,135,675.77 21.8174 21.8173 -0.0076
16/9/2025 21.8249 318,952,384.57 21.8250 21.8249 -0.0738
15/9/2025 21.8987 319,798,376.88 21.8988 21.8987 +0.3930
12/9/2025 21.5057 313,758,111.13 21.5058 21.5057 -0.1115
11/9/2025 21.6172 314,772,872.76 21.6173 21.6172 -0.1335
10/9/2025 21.7507 316,323,445.95 21.7508 21.7507 +0.6961
9/9/2025 21.0546 305,887,058.28 21.0547 21.0546 +0.1250
8/9/2025 20.9296 303,863,232.98 20.9297 20.9296 -0.1699
5/9/2025 21.0995 306,092,850.54 21.0996 21.0995 -0.2334
4/9/2025 21.3329 309,206,117.74 21.3330 21.3329 +0.2258
3/9/2025 21.1071 305,362,439.93 21.1072 21.1071 +0.2768
2/9/2025 20.8303 300,608,384.27 20.8304 20.8303 -0.1483
29/8/2025 20.9786 302,456,614.26 20.9787 20.9786 -0.2596
28/8/2025 21.2382 305,958,195.33 21.2383 21.2382 +0.0745
27/8/2025 21.1637 304,593,043.16 21.1638 21.1637 +0.0328
26/8/2025 21.1309 303,817,360.23 21.1310 21.1309 +0.0891
25/8/2025 21.0418 301,929,053.77 21.0419 21.0418 -0.1198
22/8/2025 21.1616 303,826,995.74 21.1617 21.1616 +0.3604
21/8/2025 20.8012 297,433,398.93 20.8013 20.8012 -0.0628
20/8/2025 20.8640 298,435,186.16 20.8641 20.8640 -0.0859
19/8/2025 20.9499 299,676,560.41 20.9500 20.9499 -0.3322
18/8/2025 21.2821 304,028,919.65 21.2822 21.2821 -0.0226
15/8/2025 21.3047 304,117,782.28 21.3048 21.3047 +0.0231
14/8/2025 21.2816 303,554,392.15 21.2817 21.2816 +0.2369
13/8/2025 21.0447 299,691,155.84 21.0448 21.0447 +0.0075
8/8/2025 21.0372 299,209,132.50 21.0373 21.0372 +0.3113
7/8/2025 20.7259 294,751,443.53 20.7260 20.7259 -0.1329
6/8/2025 20.8588 297,984,481.46 20.8589 20.8588 +0.2880
5/8/2025 20.5708 293,577,502.32 20.5709 20.5708 -0.1845
4/8/2025 20.7553 296,282,521.64 20.7554 20.7553 +0.1266
1/8/2025 20.6287 293,694,141.85 20.6288 20.6287 -0.4269
31/7/2025 21.0556 299,514,043.76 21.0557 21.0556 +0.2843
30/7/2025 20.7713 295,300,342.21 20.7714 20.7713 +0.0836
29/7/2025 20.6877 293,563,199.42 20.6878 20.6877 -0.0023
25/7/2025 20.6900 293,033,099.11 20.6901 20.6900 +0.1456
24/7/2025 20.5444 292,522,791.00 20.5445 20.5444 +0.1444
23/7/2025 20.4000 290,175,898.11 20.4001 20.4000 +0.0367
22/7/2025 20.3633 289,628,879.38 20.3634 20.3633 -0.2159
21/7/2025 20.5792 292,627,634.68 20.5793 20.5792 +0.1200
18/7/2025 20.4592 290,642,437.30 20.4593 20.4592 -0.1376
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.