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Since Date
Since Date
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MEGA 20 THAILAND ESG FUND
Date
NAV
Total Net Asset Value(THB)
Offer
Bid
Change
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
17/7/2025
7.9923
33,866,554.03
7.9924
7.9923
+0.1487
16/7/2025
7.8436
33,234,052.97
7.8437
7.8436
-0.0257
15/7/2025
7.8693
33,321,915.87
7.8694
7.8693
+0.1128
14/7/2025
7.7565
32,825,442.37
7.7566
7.7565
+0.1195
11/7/2025
7.6370
32,308,057.40
7.6371
7.6370
+0.0491
9/7/2025
7.5879
32,096,933.83
7.5880
7.5879
-0.0227
8/7/2025
7.6106
32,185,328.90
7.6107
7.6106
-0.0332
7/7/2025
7.6438
32,324,834.87
7.6439
7.6438
+0.0076
4/7/2025
7.6362
32,284,280.63
7.6363
7.6362
-0.0720
3/7/2025
7.7082
32,434,091.17
7.7083
7.7082
+0.0859
2/7/2025
7.6223
32,070,066.77
7.6224
7.6223
+0.0608
1/7/2025
7.5615
31,791,245.02
7.5616
7.5615
+0.1221
30/6/2025
7.4394
31,243,901.71
7.4395
7.4394
+0.0351
27/6/2025
7.4043
31,065,941.39
7.4044
7.4043
-0.1556
26/6/2025
7.5599
31,674,356.83
7.5600
7.5599
+0.0223
25/6/2025
7.5376
31,562,326.26
7.5377
7.5376
+0.1050
24/6/2025
7.4326
31,064,906.39
7.4327
7.4326
+0.2279
23/6/2025
7.2047
30,103,083.85
7.2048
7.2047
-0.0749
20/6/2025
7.2796
30,372,852.15
7.2797
7.2796
+0.0067
19/6/2025
7.2729
30,341,875.79
7.2730
7.2729
-0.2630
18/6/2025
7.5359
31,432,335.52
7.5360
7.5359
-0.0904
17/6/2025
7.6263
31,797,567.58
7.6264
7.6263
+0.0342
16/6/2025
7.5921
31,637,834.34
7.5922
7.5921
-0.0611
13/6/2025
7.6532
31,871,607.40
7.6533
7.6532
-0.0965
12/6/2025
7.7497
32,273,320.79
7.7498
7.7497
-0.1238
11/6/2025
7.8735
32,782,502.64
7.8736
7.8735
+0.0202
10/6/2025
7.8533
32,693,720.31
7.8534
7.8533
+0.0137
9/6/2025
7.8396
32,636,708.10
7.8397
7.8396
-0.0556
6/6/2025
7.8952
32,867,281.85
7.8953
7.8952
-0.0400
5/6/2025
7.9352
33,017,181.43
7.9353
7.9352
+0.0408
4/6/2025
7.8944
32,796,879.03
7.8945
7.8944
-0.0265
30/5/2025
7.9209
32,906,963.40
7.9210
7.9209
-0.1142
29/5/2025
8.0351
33,335,505.32
8.0352
8.0351
-0.0325
28/5/2025
8.0676
33,468,187.94
8.0677
8.0676
+0.0397
27/5/2025
8.0279
33,302,814.29
8.0280
8.0279
-0.0724
26/5/2025
8.1003
33,592,774.28
8.1004
8.1003
+0.0011
23/5/2025
8.0992
33,583,033.47
8.0993
8.0992
+0.0596
22/5/2025
8.0396
33,336,084.98
8.0397
8.0396
-0.0174
21/5/2025
8.0570
33,407,726.60
8.0571
8.0570
-0.0807
Remark :
• Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.