MEGA 10 EURO FUND-A
Date NAV Total Net Asset Value(THB) Offer Bid Change
14/1/2025 9.5411 20,742,512.80 9.6366 9.5411 +0.0184
13/1/2025 9.5227 20,694,635.17 9.6180 9.5227 -0.0957
10/1/2025 9.6184 20,910,827.17 9.7147 9.6184 -0.0670
8/1/2025 9.6854 21,052,890.32 9.7824 9.6854 -0.1084
7/1/2025 9.7938 21,190,546.64 9.8918 9.7938 +0.0922
6/1/2025 9.7016 21,061,934.18 9.7987 9.7016 +0.3685
3/1/2025 9.3331 20,233,990.33 9.4265 9.3331 -0.1624
2/1/2025 9.4955 20,519,391.14 9.5906 9.4955 +0.0852
30/12/2024 9.4103 20,368,686.21 9.5045 9.4103 -0.1061
27/12/2024 9.5164 20,879,665.59 9.6117 9.5164 +0.0744
24/12/2024 9.4420 20,679,923.78 9.5365 9.4420 -0.0073
23/12/2024 9.4493 20,722,592.31 9.5439 9.4493 -0.0710
20/12/2024 9.5203 20,863,609.07 9.6156 9.5203 -0.0413
19/12/2024 9.5616 20,958,057.40 9.6573 9.5616 -0.1309
18/12/2024 9.6925 21,227,128.10 9.7895 9.6925 +0.0145
17/12/2024 9.6780 21,211,818.20 9.7749 9.6780 +0.0993
16/12/2024 9.5787 21,463,380.12 9.6746 9.5787 -0.0024
13/12/2024 9.5811 21,463,356.56 9.6770 9.5811 +0.0271
12/12/2024 9.5540 21,405,329.78 9.6496 9.5540 +0.0110
11/12/2024 9.5430 23,851,769.92 9.6385 9.5430 -0.1814
9/12/2024 9.7244 24,242,122.30 9.8217 9.7244 -0.0554
6/12/2024 9.7798 24,343,438.88 9.8777 9.7798 +0.0982
4/12/2024 9.6816 24,054,920.85 9.7785 9.6816 +0.0554
3/12/2024 9.6262 23,886,137.44 9.7226 9.6262 +0.0351
2/12/2024 9.5911 23,728,100.11 9.6871 9.5911 +0.1431
29/11/2024 9.4480 23,664,787.02 9.5426 9.4480 +0.0459
28/11/2024 9.4021 23,570,518.12 9.4962 9.4021 -0.0024
27/11/2024 9.4045 23,668,947.69 9.4986 9.4045 -0.1065
26/11/2024 9.5110 24,069,571.87 9.6062 9.5110 -0.0007
25/11/2024 9.5117 23,992,448.55 9.6069 9.5117 +0.0559
22/11/2024 9.4558 23,854,493.15 9.5505 9.4558 +0.0416
21/11/2024 9.4142 23,626,977.73 9.5084 9.4142 +0.0159
20/11/2024 9.3983 23,580,444.66 9.4924 9.3983 -0.0117
19/11/2024 9.4100 23,796,054.32 9.5042 9.4100 -0.0860
18/11/2024 9.4960 25,075,523.73 9.5911 9.4960 -0.0125
15/11/2024 9.5085 25,096,535.96 9.6037 9.5085 -0.1581
14/11/2024 9.6666 25,469,912.44 9.7634 9.6666 +0.1731
13/11/2024 9.4935 25,031,920.91 9.5885 9.4935 -0.0143
12/11/2024 9.5078 25,085,992.44 9.6030 9.5078 -0.1358
11/11/2024 9.6436 25,907,691.98 9.7401 9.6436 +0.0179
8/11/2024 9.6257 25,705,833.93 9.7221 9.6257 -0.1322
7/11/2024 9.7579 26,104,673.83 9.8556 9.7579 +0.1944
6/11/2024 9.5635 25,521,460.21 9.6592 9.5635 -0.0544
5/11/2024 9.6179 25,647,146.81 9.7142 9.6179 -0.0096
4/11/2024 9.6275 25,557,840.07 9.7239 9.6275 -0.0738
1/11/2024 9.7013 26,616,238.43 9.7984 9.7013 +0.1132
31/10/2024 9.5881 27,206,240.27 9.6841 9.5881 -0.1331
30/10/2024 9.7212 27,549,664.08 9.8185 9.7212 -0.1612
29/10/2024 9.8824 27,992,298.60 9.9813 9.8824 -0.0526
28/10/2024 9.9350 28,144,841.40 10.0345 9.9350 +0.0389
25/10/2024 9.8961 28,013,489.03 9.9952 9.8961 +0.0763
24/10/2024 9.8198 27,777,859.63 9.9181 9.8198 +0.0440
22/10/2024 9.7758 30,926,111.94 9.8737 9.7758 +0.0333
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
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.