MEGA 20 THAILAND ESG FUND
Date NAV Total Net Asset Value(THB) Offer Bid Change
17/10/2025 8.1499 36,102,288.73 8.1500 8.1499 -0.0830
16/10/2025 8.2329 36,446,781.18 8.2330 8.2329 -0.0219
15/10/2025 8.2548 36,526,475.81 8.2549 8.2548 +0.1260
14/10/2025 8.1288 35,907,216.27 8.1289 8.1288 -0.1672
10/10/2025 8.2960 36,641,835.12 8.2961 8.2960 -0.0617
9/10/2025 8.3577 36,881,919.35 8.3578 8.3577 +0.0242
8/10/2025 8.3335 36,742,870.95 8.3336 8.3335 -0.0169
7/10/2025 8.3504 36,786,551.25 8.3505 8.3504 +0.0870
6/10/2025 8.2634 36,366,462.81 8.2635 8.2634 -0.0654
3/10/2025 8.3288 36,631,750.49 8.3289 8.3288 -0.0029
2/10/2025 8.3317 36,619,839.96 8.3318 8.3317 +0.0761
1/10/2025 8.2556 36,174,674.43 8.2557 8.2556 -0.0821
30/9/2025 8.3377 36,530,206.80 8.3378 8.3377 -0.0641
29/9/2025 8.4018 36,802,349.68 8.4019 8.4018 +0.0524
26/9/2025 8.3494 36,544,780.19 8.3495 8.3494 -0.0178
25/9/2025 8.3672 36,600,592.28 8.3673 8.3672 +0.0818
24/9/2025 8.2854 36,240,844.78 8.2855 8.2854 +0.0677
23/9/2025 8.2177 35,891,366.81 8.2178 8.2177 -0.1206
22/9/2025 8.3383 36,330,148.14 8.3384 8.3383 -0.0726
19/9/2025 8.4109 36,637,893.56 8.4110 8.4109 -0.0301
18/9/2025 8.4410 36,732,237.25 8.4411 8.4410 -0.1132
17/9/2025 8.5542 37,222,192.72 8.5543 8.5542 -0.0125
16/9/2025 8.5667 37,039,763.25 8.5668 8.5667 +0.0793
15/9/2025 8.4874 36,491,861.78 8.4875 8.4874 +0.0323
12/9/2025 8.4551 36,344,850.92 8.4552 8.4551 +0.0013
11/9/2025 8.4538 36,316,103.30 8.4539 8.4538 +0.0019
10/9/2025 8.4519 36,303,760.69 8.4520 8.4519 -0.0298
9/9/2025 8.4817 36,428,480.51 8.4818 8.4817 +0.0023
8/9/2025 8.4794 36,383,519.17 8.4795 8.4794 +0.0833
5/9/2025 8.3961 36,009,544.18 8.3962 8.3961 +0.0659
4/9/2025 8.3302 35,722,712.61 8.3303 8.3302 -0.0115
3/9/2025 8.3417 35,769,665.43 8.3418 8.3417 +0.0470
2/9/2025 8.2947 35,564,371.41 8.2948 8.2947 +0.0434
1/9/2025 8.2513 35,369,706.13 8.2514 8.2513 +0.1052
29/8/2025 8.1461 34,904,722.91 8.1462 8.1461 -0.0921
28/8/2025 8.2382 35,282,262.03 8.2383 8.2382 +0.0441
27/8/2025 8.1941 35,081,048.83 8.1942 8.1941 -0.0209
26/8/2025 8.2150 35,153,844.48 8.2151 8.2150 -0.1038
25/8/2025 8.3188 35,568,686.63 8.3189 8.3188 +0.0686
22/8/2025 8.2502 35,272,759.08 8.2503 8.2502 +0.0011
21/8/2025 8.2491 35,266,011.95 8.2492 8.2491 -0.0068
20/8/2025 8.2559 35,293,001.52 8.2560 8.2559 +0.1436
19/8/2025 8.1123 34,676,490.36 8.1124 8.1123 -0.0114
18/8/2025 8.1237 34,695,608.48 8.1238 8.1237 -0.0716
15/8/2025 8.1953 34,984,192.70 8.1954 8.1953 -0.0508
14/8/2025 8.2461 35,181,139.43 8.2462 8.2461 -0.0698
13/8/2025 8.3159 35,468,896.46 8.3160 8.3159 +0.0553
8/8/2025 8.2606 35,222,172.77 8.2607 8.2606 -0.0162
7/8/2025 8.2768 35,287,741.83 8.2769 8.2768 -0.0073
6/8/2025 8.2841 35,314,522.98 8.2842 8.2841 +0.1256
5/8/2025 8.1585 34,770,130.11 8.1586 8.1585 +0.0939
4/8/2025 8.0646 34,365,111.92 8.0647 8.0646 +0.0491
1/8/2025 8.0155 34,145,643.38 8.0156 8.0155 -0.1763
31/7/2025 8.1918 34,884,461.17 8.1919 8.1918 -0.0406
30/7/2025 8.2324 35,044,493.46 8.2325 8.2324 +0.0634
29/7/2025 8.1690 34,746,794.28 8.1691 8.1690 +0.1212
25/7/2025 8.0478 34,150,875.49 8.0479 8.0478 -0.0223
24/7/2025 8.0701 34,238,528.01 8.0702 8.0701 -0.0237
23/7/2025 8.0938 34,334,995.17 8.0939 8.0938 +0.1779
22/7/2025 7.9159 33,556,065.84 7.9160 7.9159 -0.0984
21/7/2025 8.0143 33,970,347.92 8.0144 8.0143 -0.0035
18/7/2025 8.0178 33,983,102.04 8.0179 8.0178 +0.0255
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.