MEGA 10 EURO FUND-A
Date NAV Total Net Asset Value(THB) Offer Bid Change
20/8/2025 9.8264 18,636,566.36 9.9248 9.8264 -0.0442
19/8/2025 9.8706 18,713,615.70 9.9694 9.8706 +0.1209
18/8/2025 9.7497 18,429,085.59 9.8473 9.7497 +0.0251
15/8/2025 9.7246 18,378,734.73 9.8219 9.7246 +0.0486
14/8/2025 9.6760 18,506,857.11 9.7729 9.6760 +0.0505
13/8/2025 9.6255 18,324,254.78 9.7219 9.6255 +0.0480
8/8/2025 9.5775 18,210,397.37 9.6734 9.5775 +0.0337
7/8/2025 9.5438 18,115,002.76 9.6393 9.5438 +0.2181
6/8/2025 9.3257 17,662,050.69 9.4191 9.3257 +0.0176
5/8/2025 9.3081 17,560,585.49 9.4013 9.3081 -0.0669
4/8/2025 9.3750 17,902,532.06 9.4689 9.3750 +0.1096
1/8/2025 9.2654 17,669,683.76 9.3582 9.2654 -0.2288
31/7/2025 9.4942 18,201,781.85 9.5892 9.4942 -0.4069
30/7/2025 9.9011 19,699,350.78 10.0002 9.9011 -0.0140
29/7/2025 9.9151 19,693,990.68 10.0144 9.9151 -0.0881
25/7/2025 10.0032 19,880,178.88 10.1033 10.0032 +0.0773
24/7/2025 9.9259 19,640,481.97 10.0253 9.9259 +0.0257
23/7/2025 9.9002 19,594,929.97 9.9993 9.9002 +0.1249
22/7/2025 9.7753 19,350,700.95 9.8732 9.7753 -0.0577
21/7/2025 9.8330 19,349,301.78 9.9314 9.8330 -0.0496
18/7/2025 9.8826 19,340,155.86 9.9815 9.8826 -0.0821
17/7/2025 9.9647 19,488,829.17 10.0644 9.9647 +0.1479
16/7/2025 9.8168 19,207,791.02 9.9151 9.8168 -0.1383
15/7/2025 9.9551 19,464,966.39 10.0548 9.9551 -0.0053
14/7/2025 9.9604 19,480,750.24 10.0601 9.9604 -0.0732
11/7/2025 10.0336 20,609,269.00 10.1340 10.0336 -0.1594
9/7/2025 10.1930 20,649,400.81 10.2950 10.1930 +0.1313
8/7/2025 10.0617 20,762,902.86 10.1624 10.0617 +0.0214
7/7/2025 10.0403 20,765,350.85 10.1408 10.0403 +0.0094
3/7/2025 10.0309 20,742,866.85 10.1313 10.0309 +0.0106
2/7/2025 10.0203 20,697,740.87 10.1206 10.0203 +0.0362
1/7/2025 9.9841 20,674,142.60 10.0840 9.9841 +0.1244
30/6/2025 9.8597 20,412,242.01 9.9584 9.8597 -0.0434
27/6/2025 9.9031 20,480,835.70 10.0022 9.9031 +0.2174
26/6/2025 9.6857 20,023,340.74 9.7827 9.6857 -0.0666
25/6/2025 9.7523 20,196,640.97 9.8499 9.7523 -0.1487
24/6/2025 9.9010 20,499,872.37 10.0001 9.9010 +0.0980
23/6/2025 9.8030 19,800,272.43 9.9011 9.8030 +0.0189
20/6/2025 9.7841 19,779,306.28 9.8820 9.7841 -0.0134
18/6/2025 9.7975 19,824,440.09 9.8956 9.7975 -0.0872
17/6/2025 9.8847 20,303,835.23 9.9836 9.8847 -0.0644
16/6/2025 9.9491 20,442,747.42 10.0487 9.9491 +0.0831
13/6/2025 9.8660 20,352,384.57 9.9648 9.8660 -0.1500
12/6/2025 10.0160 20,158,665.64 10.1163 10.0160 -0.0073
11/6/2025 10.0233 20,331,269.39 10.1236 10.0233 -0.1069
10/6/2025 10.1302 21,649,648.46 10.2316 10.1302 +0.0379
9/6/2025 10.0923 20,482,585.67 10.1933 10.0923 +0.0148
6/6/2025 10.0775 19,935,959.59 10.1784 10.0775 +0.0678
5/6/2025 10.0097 19,793,356.06 10.1099 10.0097 -0.0589
4/6/2025 10.0686 19,886,488.33 10.1694 10.0686 +0.0736
30/5/2025 9.9950 19,787,194.54 10.0951 9.9950 +0.0349
29/5/2025 9.9601 19,713,999.57 10.0598 9.9601 -0.0094
28/5/2025 9.9695 19,741,152.75 10.0693 9.9695 -0.1116
27/5/2025 10.0811 19,925,656.51 10.1820 10.0811 +0.1703
23/5/2025 9.9108 19,600,254.66 10.0100 9.9108 -0.2262
22/5/2025 10.1370 19,974,380.96 10.2385 10.1370 -0.0656
21/5/2025 10.2026 19,902,466.10 10.3047 10.2026 -0.0777
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.