MEGA 10 EURO FUND-A
Date NAV Total Net Asset Value(THB) Offer Bid Change
21/10/2024 9.7425 29,701,311.26 9.8400 9.7425 +0.0065
18/10/2024 9.7360 29,573,541.56 9.8335 9.7360 +0.0196
17/10/2024 9.7164 29,320,227.02 9.8137 9.7164 +0.0439
16/10/2024 9.6725 29,192,891.72 9.7693 9.6725 -0.1597
15/10/2024 9.8322 29,632,031.79 9.9306 9.8322 -0.2080
11/10/2024 10.0402 30,229,827.80 10.1407 10.0402 +0.0116
10/10/2024 10.0286 30,156,166.24 10.1290 10.0286 -0.0492
9/10/2024 10.0778 30,193,433.90 10.1787 10.0778 +0.0240
8/10/2024 10.0538 30,102,515.00 10.1544 10.0538 +0.0104
7/10/2024 10.0434 29,972,494.78 10.1439 10.0434 +0.0965
4/10/2024 9.9469 29,656,127.67 10.0465 9.9469 +0.0094
3/10/2024 9.9375 30,090,035.78 10.0370 9.9375 -0.0320
2/10/2024 9.9695 29,951,159.94 10.0693 9.9695 +0.0396
1/10/2024 9.9299 29,851,471.84 10.0293 9.9299 -0.0675
30/9/2024 9.9974 30,087,630.73 10.0975 9.9974 -0.0853
27/9/2024 10.0827 30,266,953.78 10.1836 10.0827 +0.0072
26/9/2024 10.0755 30,245,751.29 10.1764 10.0755 +0.2838
25/9/2024 9.7917 29,360,156.13 9.8897 9.7917 -0.0558
24/9/2024 9.8475 29,527,383.78 9.9461 9.8475 +0.1592
23/9/2024 9.6883 29,078,578.69 9.7853 9.6883 -0.0234
20/9/2024 9.7117 21,194,414.08 9.8089 9.7117 -0.2334
19/9/2024 9.9451 21,700,251.79 10.0447 9.9451 +0.2324
18/9/2024 9.7127 21,187,967.91 9.8099 9.7127 -0.0740
17/9/2024 9.7867 21,347,671.57 9.8847 9.7867 +0.0678
16/9/2024 9.7189 21,190,400.90 9.8162 9.7189 -0.0503
13/9/2024 9.7692 21,298,929.33 9.8670 9.7692 -0.0120
12/9/2024 9.7812 21,318,071.75 9.8791 9.7812 +0.0826
11/9/2024 9.6986 21,110,051.23 9.7957 9.6986 +0.0009
10/9/2024 9.6977 21,013,418.61 9.7948 9.6977 -0.0751
9/9/2024 9.7728 21,167,403.69 9.8706 9.7728 +0.1245
6/9/2024 9.6483 20,377,502.10 9.7449 9.6483 -0.1411
5/9/2024 9.7894 20,580,665.45 9.8874 9.7894 -0.3107
4/9/2024 10.1001 21,190,298.50 10.2012 10.1001 -0.1405
3/9/2024 10.2406 21,344,766.26 10.3431 10.2406 -0.0756
2/9/2024 10.3162 21,489,813.96 10.4195 10.3162 +0.0934
30/8/2024 10.2228 21,241,749.84 10.3251 10.2228 -0.0587
29/8/2024 10.2815 21,346,759.85 10.3844 10.2815 +0.0763
28/8/2024 10.2052 21,123,803.83 10.3074 10.2052 -0.0533
27/8/2024 10.2585 21,220,968.87 10.3612 10.2585 -0.0215
26/8/2024 10.2800 20,746,167.26 10.3829 10.2800 -0.0761
23/8/2024 10.3561 20,838,376.32 10.4598 10.3561 -0.0281
22/8/2024 10.3842 20,848,191.93 10.4881 10.3842 +0.0612
21/8/2024 10.3230 20,653,458.33 10.4263 10.3230 +0.1249
20/8/2024 10.1981 20,291,603.32 10.3002 10.1981 -0.0245
19/8/2024 10.2226 20,119,853.23 10.3249 10.2226 -0.0423
16/8/2024 10.2649 16,965,410.65 10.3676 10.2649 +0.0299
15/8/2024 10.2350 16,770,267.80 10.3375 10.2350 +0.1048
14/8/2024 10.1302 16,191,564.89 10.2316 10.1302 +0.1237
13/8/2024 10.0065 15,557,598.97 10.1067 10.0065 -0.0060
9/8/2024 10.0125 15,556,846.44 10.1127 10.0125 +0.0320
8/8/2024 9.9805 14,488,902.20 10.0804 9.9805 -0.0188
7/8/2024 9.9993 14,516,278.70 N/A N/A +0.0000
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.