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6 Months
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3 Years
Since Inception
Since Date
Since Date
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MEGA 10 RETIREMENT MUTUAL FUND
Date
NAV
Total Net Asset Value(THB)
Offer
Bid
Change
14/1/2025
19.0690
245,626,480.99
19.0691
19.0690
-0.0591
13/1/2025
19.1281
246,477,524.97
19.1282
19.1281
+0.0198
10/1/2025
19.1083
245,864,538.21
19.1084
19.1083
-0.3528
8/1/2025
19.4611
250,258,886.23
19.4612
19.4611
+0.0766
7/1/2025
19.3845
248,943,941.08
19.3846
19.3845
-0.3482
6/1/2025
19.7327
253,316,142.55
19.7328
19.7327
+0.2432
3/1/2025
19.4895
249,668,614.67
19.4896
19.4895
+0.3151
2/1/2025
19.1744
245,239,177.64
19.1745
19.1744
-0.0123
30/12/2024
19.1867
240,275,420.30
19.1868
19.1867
-0.1922
27/12/2024
19.3789
237,594,672.29
19.3790
19.3789
-0.2974
26/12/2024
19.6763
234,780,924.26
19.6764
19.6763
+0.0267
24/12/2024
19.6496
232,522,518.58
19.6497
19.6496
+0.1993
23/12/2024
19.4503
227,416,628.23
19.4504
19.4503
-0.0402
20/12/2024
19.4905
226,378,687.91
19.4906
19.4905
+0.1440
19/12/2024
19.3465
222,088,165.57
19.3466
19.3465
+0.3142
18/12/2024
19.0323
217,413,430.51
19.0324
19.0323
-0.5645
17/12/2024
19.5968
222,736,144.39
19.5969
19.5968
+0.0769
16/12/2024
19.5199
220,419,199.55
19.5200
19.5199
+0.0892
13/12/2024
19.4307
218,680,520.78
19.4308
19.4307
+0.0102
12/12/2024
19.4205
217,727,695.34
19.4206
19.4205
-0.1292
11/12/2024
19.5497
218,532,256.79
19.5498
19.5497
+0.2637
9/12/2024
19.2860
213,410,581.88
19.2861
19.2860
-0.2490
6/12/2024
19.5350
215,108,005.25
19.5351
19.5350
+0.0717
4/12/2024
19.4633
214,021,875.44
19.4634
19.4633
+0.1562
3/12/2024
19.3071
211,611,844.69
19.3072
19.3071
+0.0261
2/12/2024
19.2810
210,567,059.49
19.2811
19.2810
+0.2326
29/11/2024
19.0484
207,526,064.56
19.0485
19.0484
-0.0673
27/11/2024
19.1157
207,609,291.57
19.1158
19.1157
-0.2268
26/11/2024
19.3425
209,884,645.55
19.3426
19.3425
+0.2771
25/11/2024
19.0654
206,493,455.01
19.0655
19.0654
+0.0768
22/11/2024
18.9886
212,735,397.01
18.9887
18.9886
-0.0624
21/11/2024
19.0510
213,250,284.02
19.0511
19.0510
-0.1057
20/11/2024
19.1567
214,182,591.50
19.1568
19.1567
-0.0271
19/11/2024
19.1838
214,270,084.48
19.1839
19.1838
+0.0252
18/11/2024
19.1586
213,696,746.17
19.1587
19.1586
+0.0998
15/11/2024
19.0588
212,412,670.57
19.0589
19.0588
-0.4235
14/11/2024
19.4823
217,539,980.78
19.4824
19.4823
+0.0621
13/11/2024
19.4202
216,656,738.13
19.4203
19.4202
-0.0210
12/11/2024
19.4412
216,575,006.61
19.4413
19.4412
+0.3013
11/11/2024
19.1399
212,297,615.42
19.1400
19.1399
+0.0952
8/11/2024
19.0447
210,828,338.09
19.0448
19.0447
-0.0667
7/11/2024
19.1114
209,768,317.69
19.1115
19.1114
+0.2479
6/11/2024
18.8635
206,763,012.72
18.8636
18.8635
+0.8889
5/11/2024
17.9746
196,796,811.63
17.9747
17.9746
+0.0943
4/11/2024
17.8803
195,493,069.78
17.8804
17.8803
-0.1419
1/11/2024
18.0222
196,631,173.30
18.0223
18.0222
+0.2620
31/10/2024
17.7602
193,715,212.69
17.7603
17.7602
-0.4690
30/10/2024
18.2292
198,645,930.05
18.2293
18.2292
+0.0600
29/10/2024
18.1692
197,535,516.12
18.1693
18.1692
+0.0786
28/10/2024
18.0906
196,149,521.80
18.0907
18.0906
+0.0726
25/10/2024
18.0180
195,145,790.86
18.0181
18.0180
+0.0820
24/10/2024
17.9360
193,831,091.19
17.9361
17.9360
-0.0815
22/10/2024
18.0175
194,355,185.19
18.0176
18.0175
+0.1106
21/10/2024
17.9069
193,284,857.31
17.9070
17.9069
+0.0810
18/10/2024
17.8259
192,163,162.05
17.8260
17.8259
-0.0071
17/10/2024
17.8330
192,020,776.63
17.8331
17.8330
+0.0182
16/10/2024
17.8148
191,893,440.19
17.8149
17.8148
-0.0347
15/10/2024
17.8495
191,941,337.60
17.8496
17.8495
+0.1018
Remark :
• Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.