MEGA 20 THAILAND ESG FUND
Date NAV Total Net Asset Value(THB) Offer Bid Change
14/1/2025 8.6583 32,210,565.61 8.6584 8.6583 -0.0748
13/1/2025 8.7331 32,481,915.52 8.7332 8.7331 -0.0309
10/1/2025 8.7640 32,566,718.60 8.7641 8.7640 +0.0096
9/1/2025 8.7544 32,528,050.88 8.7545 8.7544 -0.1979
8/1/2025 8.9523 33,244,614.58 8.9524 8.9523 -0.0470
7/1/2025 8.9993 33,394,023.60 8.9994 8.9993 +0.1161
6/1/2025 8.8832 32,969,217.54 8.8833 8.8832 -0.0465
3/1/2025 8.9297 33,140,380.58 8.9298 8.9297 -0.0468
2/1/2025 8.9765 33,309,441.63 8.9766 8.9765 -0.0361
30/12/2024 9.0126 32,045,897.48 9.0127 9.0126 -0.0541
27/12/2024 9.0667 31,027,211.47 9.0668 9.0667 +0.0063
26/12/2024 9.0604 30,478,726.58 9.0605 9.0604 -0.0212
25/12/2024 9.0816 29,889,002.19 9.0817 9.0816 +0.0376
24/12/2024 9.0440 28,902,696.24 9.0441 9.0440 +0.0796
23/12/2024 8.9644 28,182,884.85 8.9645 8.9644 +0.1312
20/12/2024 8.8332 27,535,333.91 8.8333 8.8332 -0.0854
19/12/2024 8.9186 26,945,565.03 8.9187 8.9186 -0.1210
18/12/2024 9.0396 27,220,663.44 9.0397 9.0396 +0.0288
17/12/2024 9.0108 26,679,583.34 9.0109 9.0108 -0.1803
16/12/2024 9.1911 26,845,740.94 9.1912 9.1911 -0.0636
13/12/2024 9.2547 26,729,832.07 9.2548 9.2547 -0.0285
12/12/2024 9.2832 26,695,527.54 9.2833 9.2832 -0.0419
11/12/2024 9.3251 26,253,655.52 9.3252 9.3251 -0.0276
9/12/2024 9.3527 26,260,337.22 9.3528 9.3527 -0.0414
6/12/2024 9.3941 26,122,653.23 9.3942 9.3941 +0.0082
4/12/2024 9.3859 25,967,304.77 9.3860 9.3859 -0.0232
3/12/2024 9.4091 25,949,279.97 9.4092 9.4091 +0.1330
2/12/2024 9.2761 25,444,043.01 9.2762 9.2761 +0.0599
29/11/2024 9.2162 25,272,791.82 9.2163 9.2162 -0.0007
28/11/2024 9.2169 25,207,384.28 9.2170 9.2169 -0.0078
27/11/2024 9.2247 25,208,666.38 9.2248 9.2247 -0.0661
26/11/2024 9.2908 25,163,413.60 9.2909 9.2908 -0.0970
25/11/2024 9.3878 25,243,042.91 9.3879 9.3878 -0.0052
22/11/2024 9.3930 25,196,868.11 9.3931 9.3930 +0.0327
21/11/2024 9.3603 25,084,136.33 9.3604 9.3603 +0.0496
20/11/2024 9.3107 24,941,402.05 9.3108 9.3107 -0.0521
19/11/2024 9.3628 25,080,195.27 9.3629 9.3628 +0.0465
18/11/2024 9.3163 24,917,149.51 9.3164 9.3163 +0.0946
15/11/2024 9.2217 24,606,087.37 9.2218 9.2217 -0.0108
14/11/2024 9.2325 24,610,791.86 9.2326 9.2325 +0.0125
13/11/2024 9.2200 24,531,423.44 9.2201 9.2200 +0.0125
12/11/2024 9.2075 24,354,961.32 9.2076 9.2075 -0.0936
11/11/2024 9.3011 24,257,562.73 9.3012 9.3011 -0.0394
8/11/2024 9.3405 24,353,786.45 9.3406 9.3405 -0.0270
7/11/2024 9.3675 24,405,677.48 9.3676 9.3675 +0.0067
6/11/2024 9.3608 24,293,231.11 9.3609 9.3608 -0.1219
5/11/2024 9.4827 24,599,789.12 9.4828 9.4827 +0.0885
4/11/2024 9.3942 24,328,496.68 9.3943 9.3942 +0.0134
1/11/2024 9.3808 24,217,652.47 9.3809 9.3808 -0.0025
31/10/2024 9.3833 24,144,647.07 9.3834 9.3833 +0.0865
30/10/2024 9.2968 23,771,741.54 9.2969 9.2968 -0.1262
29/10/2024 9.4230 24,094,259.15 9.4231 9.4230 +0.0222
28/10/2024 9.4008 23,698,879.04 9.4009 9.4008 -0.0629
25/10/2024 9.4637 23,583,412.16 9.4638 9.4637 +0.0037
24/10/2024 9.4600 23,513,295.99 9.4601 9.4600 -0.1452
22/10/2024 9.6052 23,816,257.38 9.6053 9.6052 -0.1463
21/10/2024 9.7515 24,174,977.04 9.7516 9.7515 -0.0242
18/10/2024 9.7757 24,130,557.65 9.7758 9.7757 -0.0606
17/10/2024 9.8363 24,275,227.46 9.8364 9.8363 +0.0295
16/10/2024 9.8068 24,197,206.67 9.8069 9.8068 +0.0546
15/10/2024 9.7522 23,996,349.30 9.7523 9.7522 -0.0639
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.