AF US Wide MOAT Fund Hedged-SSF
Date NAV Total Net Asset Value(THB) Offer Bid Change
17/4/2025 9.2908 19,916,902.85 9.2909 9.2908 +0.0501
16/4/2025 9.2407 19,809,601.05 9.2408 9.2407 -0.1277
11/4/2025 9.3684 20,110,036.28 9.3685 9.3684 +0.1936
10/4/2025 9.1748 19,927,385.41 9.1749 9.1748 -0.4090
9/4/2025 9.5838 20,815,741.59 9.5839 9.5838 +0.7971
8/4/2025 8.7867 19,137,406.66 8.7868 8.7867 -0.2670
4/4/2025 9.0537 19,718,982.58 9.0538 9.0537 -0.5473
3/4/2025 9.6010 20,910,912.66 9.6011 9.6010 -0.5649
2/4/2025 10.1659 22,141,264.24 10.1660 10.1659 +0.0716
1/4/2025 10.0943 21,990,076.79 10.0944 10.0943 -0.0384
31/3/2025 10.1327 22,073,853.74 10.1328 10.1327 +0.0327
28/3/2025 10.1000 22,002,468.02 N/A N/A -0.1773
27/3/2025 10.2773 22,388,686.57 10.2774 10.2773 -0.0182
26/3/2025 10.2955 22,481,917.77 10.2956 10.2955 -0.0768
25/3/2025 10.3723 22,649,568.02 10.3724 10.3723 -0.0383
24/3/2025 10.4106 22,733,289.01 10.4107 10.4106 +0.1266
21/3/2025 10.2840 22,456,807.35 10.2841 10.2840 -0.0225
20/3/2025 10.3065 22,505,944.98 10.3066 10.3065 -0.0702
19/3/2025 10.3767 22,659,097.80 10.3768 10.3767 +0.0238
18/3/2025 10.3529 22,607,124.78 10.3530 10.3529 -0.0591
17/3/2025 10.4120 22,736,226.02 10.4121 10.4120 +0.1594
14/3/2025 10.2526 22,388,198.84 10.2527 10.2526 +0.1304
13/3/2025 10.1222 22,103,377.19 10.1223 10.1222 -0.0969
12/3/2025 10.2191 22,315,070.18 10.2192 10.2191 -0.0841
11/3/2025 10.3032 22,517,357.82 10.3033 10.3032 -0.2015
10/3/2025 10.5047 23,122,213.46 10.5048 10.5047 -0.1837
7/3/2025 10.6884 23,526,665.26 10.6885 10.6884 +0.1449
6/3/2025 10.5435 23,207,682.40 10.5436 10.5435 -0.0145
5/3/2025 10.5580 23,375,591.10 10.5581 10.5580 +0.1736
4/3/2025 10.3844 22,991,410.96 10.3845 10.3844 -0.1473
3/3/2025 10.5317 23,302,553.64 10.5318 10.5317 -0.0910
28/2/2025 10.6227 23,567,643.83 10.6228 10.6227 +0.0889
27/2/2025 10.5338 23,380,603.91 10.5339 10.5338 -0.1382
26/2/2025 10.6720 23,732,925.91 10.6721 10.6720 -0.0609
25/2/2025 10.7329 23,926,422.84 10.7330 10.7329 +0.0264
24/2/2025 10.7065 23,877,271.44 10.7066 10.7065 +0.0554
21/2/2025 10.6511 24,203,521.82 10.6512 10.6511 -0.0808
20/2/2025 10.7319 25,219,188.26 10.7320 10.7319 +0.0145
19/2/2025 10.7174 25,448,961.64 10.7175 10.7174 +0.0564
18/2/2025 10.6610 25,335,422.02 10.6611 10.6610 +0.0558
14/2/2025 10.6052 25,231,760.07 10.6053 10.6052 -0.0458
13/2/2025 10.6510 25,377,572.79 10.6511 10.6510 +0.0191
11/2/2025 10.6319 25,393,830.83 10.6320 10.6319 +0.0021
10/2/2025 10.6298 25,428,224.10 10.6299 10.6298 +0.0110
7/2/2025 10.6188 25,430,790.35 10.6189 10.6188 -0.0974
6/2/2025 10.7162 25,693,871.07 10.7163 10.7162 -0.1232
5/2/2025 10.8394 25,990,821.74 10.8395 10.8394 -0.0374
4/2/2025 10.8768 26,080,454.05 10.8769 10.8768 -0.0838
3/2/2025 10.9606 26,293,304.70 10.9607 10.9606 -0.1114
31/1/2025 11.0720 26,401,508.81 11.0721 11.0720 -0.0609
30/1/2025 11.1329 26,516,559.52 11.1330 11.1329 +0.0842
29/1/2025 11.0487 26,228,698.71 11.0488 11.0487 -0.0801
28/1/2025 11.1288 26,418,691.14 11.1289 11.1288 -0.0552
27/1/2025 11.1840 26,548,685.12 11.1841 11.1840 +0.0745
24/1/2025 11.1095 26,371,968.84 11.1096 11.1095 -0.0277
23/1/2025 11.1372 26,437,649.54 11.1373 11.1372 +0.0571
22/1/2025 11.0801 26,301,164.19 11.0802 11.0801 +0.0006
21/1/2025 11.0795 26,236,192.43 11.0796 11.0795 +0.1316
17/1/2025 10.9479 25,926,383.63 10.9480 10.9479 +0.0514
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.