MEGA 10 RETIREMENT MUTUAL FUND
Date NAV Total Net Asset Value(THB) Offer Bid Change
16/5/2024 17.1473 158,181,662.03 17.1474 17.1473 -0.1944
15/5/2024 17.3417 159,779,171.82 17.3418 17.3417 +0.0074
14/5/2024 17.3343 159,606,814.98 17.3344 17.3343 +0.0672
13/5/2024 17.2671 158,566,896.07 17.2672 17.2671 +0.0525
10/5/2024 17.2146 157,404,862.75 17.2147 17.2146 -0.1288
9/5/2024 17.3434 157,836,955.17 17.3435 17.3434 +0.0285
8/5/2024 17.3149 157,239,492.34 17.3150 17.3149 +0.0862
7/5/2024 17.2287 154,207,127.29 17.2288 17.2287 +0.2042
3/5/2024 17.0245 151,937,601.38 17.0246 17.0245 +0.1396
2/5/2024 16.8849 150,551,731.76 16.8850 16.8849 +0.1000
30/4/2024 16.7849 149,181,050.56 16.7850 16.7849 -0.3044
29/4/2024 17.0893 151,651,030.90 17.0894 17.0893 +0.2014
26/4/2024 16.8879 149,572,618.49 16.8880 16.8879 +0.1847
25/4/2024 16.7032 148,118,700.77 16.7033 16.7032 -0.1904
24/4/2024 16.8936 149,360,800.81 16.8937 16.8936 +0.1752
23/4/2024 16.7184 147,533,969.28 16.7185 16.7184 +0.2268
22/4/2024 16.4916 145,658,964.20 16.4917 16.4916 +0.1494
19/4/2024 16.3422 144,220,273.78 16.3423 16.3422 -0.1068
18/4/2024 16.4490 145,030,067.17 16.4491 16.4490 -0.0881
17/4/2024 16.5371 145,633,500.98 16.5372 16.5371 -0.6207
11/4/2024 17.1578 151,119,184.24 17.1579 17.1578 +0.3026
10/4/2024 16.8552 148,354,470.25 16.8553 16.8552 -0.1397
9/4/2024 16.9949 149,864,640.12 16.9950 16.9949 +0.0099
5/4/2024 16.9850 149,818,561.70 16.9851 16.9850 +0.1477
4/4/2024 16.8373 148,251,258.47 16.8374 16.8373 -0.1084
3/4/2024 16.9457 149,248,661.72 16.9458 16.9457 +0.0259
2/4/2024 16.9198 148,909,736.20 16.9199 16.9198 +0.0256
1/4/2024 16.8942 149,059,413.31 16.8943 16.8942 -0.0227
28/3/2024 16.9169 149,004,273.40 16.9170 16.9169 -0.0597
27/3/2024 16.9766 149,348,612.68 16.9767 16.9766 +0.1745
26/3/2024 16.8021 147,585,413.22 16.8022 16.8021 -0.0289
25/3/2024 16.8310 147,480,120.65 16.8311 16.8310 -0.0780
22/3/2024 16.9090 148,198,828.16 16.9091 16.9090 +0.0915
21/3/2024 16.8175 147,296,475.66 16.8176 16.8175 -0.0933
20/3/2024 16.9108 148,310,401.42 16.9109 16.9108 +0.2260
19/3/2024 16.6848 146,336,138.26 16.6849 16.6848 +0.0940
18/3/2024 16.5908 145,837,069.19 16.5909 16.5908 +0.3170
15/3/2024 16.2738 143,298,222.23 16.2739 16.2738 -0.0422
14/3/2024 16.3160 144,074,142.42 16.3161 16.3160 -0.0205
13/3/2024 16.3365 143,991,581.55 16.3366 16.3365 +0.0400
12/3/2024 16.2965 144,313,651.55 16.2966 16.2965 +0.2546
11/3/2024 16.0419 142,161,547.12 16.0420 16.0419 -0.0713
8/3/2024 16.1132 142,724,434.22 16.1133 16.1132 -0.0867
7/3/2024 16.1999 143,386,881.77 16.2000 16.1999 +0.0721
6/3/2024 16.1278 142,622,218.94 16.1279 16.1278 -0.0628
5/3/2024 16.1906 143,158,120.43 16.1907 16.1906 -0.2123
4/3/2024 16.4029 144,676,272.84 16.4030 16.4029 -0.2981
1/3/2024 16.7010 146,868,840.86 16.7011 16.7010 +0.1003
29/2/2024 16.6007 145,636,797.56 16.6008 16.6007 -0.0180
28/2/2024 16.6187 145,564,783.93 16.6188 16.6187 +0.1183
27/2/2024 16.5004 144,121,224.95 16.5005 16.5004 -0.1489
23/2/2024 16.6493 145,428,454.24 16.6494 16.6493 +0.0805
22/2/2024 16.5688 144,542,713.32 16.5689 16.5688 +0.2725
21/2/2024 16.2963 141,998,530.78 16.2964 16.2963 -0.0257
20/2/2024 16.3220 141,978,398.73 16.3221 16.3220 -0.1074
16/2/2024 16.4294 142,838,838.44 16.4295 16.4294 -0.1628
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.