MEGA 10 RETIREMENT MUTUAL FUND
Date NAV Total Net Asset Value(THB) Offer Bid Change
17/4/2025 16.1370 222,432,104.77 16.1371 16.1370 -0.0497
16/4/2025 16.1867 222,449,962.39 16.1868 16.1867 -0.6654
11/4/2025 16.8521 230,837,706.49 16.8522 16.8521 +0.0201
10/4/2025 16.8320 229,635,121.69 16.8321 16.8320 -0.8665
9/4/2025 17.6985 242,181,294.73 17.6986 17.6985 +1.6382
8/4/2025 16.0603 219,463,821.18 16.0604 16.0603 +0.1022
4/4/2025 15.9581 218,137,424.66 15.9582 15.9581 -1.0206
3/4/2025 16.9787 231,870,420.77 16.9788 16.9787 -0.9796
2/4/2025 17.9583 245,118,460.97 17.9584 17.9583 +0.1238
1/4/2025 17.8345 243,061,945.49 17.8346 17.8345 +0.2275
31/3/2025 17.6070 239,888,354.81 17.6071 17.6070 +0.0156
28/3/2025 17.5914 239,440,442.80 N/A N/A -0.4996
27/3/2025 18.0910 246,144,127.43 18.0911 18.0910 -0.0878
26/3/2025 18.1788 246,200,668.10 18.1789 18.1788 -0.3488
25/3/2025 18.5276 250,179,703.68 18.5277 18.5276 +0.1596
24/3/2025 18.3680 247,827,544.44 18.3681 18.3680 +0.4066
21/3/2025 17.9614 242,402,867.24 17.9615 17.9614 +0.1600
20/3/2025 17.8014 240,485,061.98 17.8015 17.8014 +0.0280
19/3/2025 17.7734 240,377,329.25 17.7735 17.7734 +0.2655
18/3/2025 17.5079 236,795,323.89 17.5080 17.5079 -0.2967
17/3/2025 17.8046 240,896,033.98 17.8047 17.8046 +0.0424
14/3/2025 17.7622 240,030,210.87 17.7623 17.7622 +0.3028
13/3/2025 17.4594 235,635,161.53 17.4595 17.4594 -0.3611
12/3/2025 17.8205 240,072,790.30 17.8206 17.8205 +0.2501
11/3/2025 17.5704 235,738,952.53 17.5705 17.5704 -0.1811
10/3/2025 17.7515 238,495,138.45 17.7516 17.7515 -0.5257
7/3/2025 18.2772 246,065,823.91 18.2773 18.2772 +0.0034
6/3/2025 18.2738 246,081,515.35 18.2739 18.2738 -0.4493
5/3/2025 18.7231 253,010,236.25 18.7232 18.7231 +0.1376
4/3/2025 18.5855 250,961,924.13 18.5856 18.5855 -0.4550
3/3/2025 19.0405 256,565,417.95 19.0406 19.0405 -0.4095
28/2/2025 19.4500 263,874,418.77 19.4501 19.4500 +0.4595
27/2/2025 18.9905 257,341,887.25 18.9906 18.9905 -0.2731
26/2/2025 19.2636 260,861,403.78 19.2637 19.2636 +0.1098
25/2/2025 19.1538 258,591,345.26 19.1539 19.1538 -0.0712
24/2/2025 19.2250 259,334,139.86 19.2251 19.2250 -0.2087
21/2/2025 19.4337 258,092,486.66 19.4338 19.4337 -0.3977
20/2/2025 19.8314 263,326,499.59 19.8315 19.8314 -0.2488
19/2/2025 20.0802 266,800,452.02 20.0803 20.0802 +0.0147
18/2/2025 20.0655 265,464,101.99 20.0656 20.0655 +0.0588
14/2/2025 20.0067 264,574,608.09 20.0068 20.0067 -0.0462
13/2/2025 20.0529 265,583,079.57 20.0530 20.0529 -0.0208
11/2/2025 20.0737 265,822,153.18 20.0738 20.0737 +0.1040
10/2/2025 19.9697 264,101,848.04 19.9698 19.9697 +0.3303
7/2/2025 19.6394 259,367,952.28 19.6395 19.6394 -0.2745
6/2/2025 19.9139 262,796,997.92 19.9140 19.9139 +0.2641
5/2/2025 19.6498 259,169,903.91 19.6499 19.6498 -0.1225
4/2/2025 19.7723 260,393,504.34 19.7724 19.7723 +0.0652
3/2/2025 19.7071 258,800,904.63 19.7072 19.7071 +0.1058
31/1/2025 19.6013 257,055,536.50 19.6014 19.6013 -0.1037
30/1/2025 19.7050 256,183,785.53 19.7051 19.7050 +0.1430
29/1/2025 19.5620 254,022,193.29 19.5621 19.5620 -0.2195
28/1/2025 19.7815 258,069,803.64 19.7816 19.7815 +0.5702
27/1/2025 19.2113 250,105,943.78 19.2114 19.2113 -0.4834
24/1/2025 19.6947 256,496,942.15 19.6948 19.6947 -0.2548
23/1/2025 19.9495 259,675,075.72 19.9496 19.9495 +0.2323
22/1/2025 19.7172 256,486,770.11 19.7173 19.7172 +0.2071
21/1/2025 19.5101 253,330,148.63 19.5102 19.5101 +0.0405
17/1/2025 19.4696 252,664,429.64 19.4697 19.4696 +0.1562
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.