AF US Wide MOAT Fund Hedged-SSF
Date NAV Total Net Asset Value(THB) Offer Bid Change
16/10/2025 11.1273 23,294,418.59 11.1274 11.1273 -0.0345
15/10/2025 11.1618 23,366,583.82 11.1619 11.1618 +0.0251
14/10/2025 11.1367 23,343,012.93 11.1368 11.1367 +0.1899
10/10/2025 10.9468 22,974,346.60 10.9469 10.9468 -0.2716
9/10/2025 11.2184 23,544,180.51 11.2185 11.2184 -0.0512
8/10/2025 11.2696 23,651,625.02 11.2697 11.2696 +0.0862
7/10/2025 11.1834 23,470,794.92 11.1835 11.1834 -0.0997
6/10/2025 11.2831 23,811,598.60 11.2832 11.2831 -0.0177
3/10/2025 11.3008 23,849,056.79 11.3009 11.3008 +0.0566
2/10/2025 11.2442 23,704,196.25 11.2443 11.2442 +0.0130
1/10/2025 11.2312 23,676,837.32 11.2313 11.2312 +0.1509
30/9/2025 11.0803 23,358,787.49 11.0804 11.0803 +0.0729
29/9/2025 11.0074 23,205,018.53 11.0075 11.0074 +0.0145
26/9/2025 10.9929 23,164,058.90 10.9930 10.9929 +0.1344
25/9/2025 10.8585 22,880,834.64 10.8586 10.8585 -0.1542
24/9/2025 11.0127 23,224,921.60 11.0128 11.0127 -0.0433
23/9/2025 11.0560 23,322,296.58 11.0561 11.0560 -0.0227
22/9/2025 11.0787 23,370,181.94 11.0788 11.0787 -0.0080
19/9/2025 11.0867 23,390,924.09 11.0868 11.0867 +0.0056
18/9/2025 11.0811 23,787,704.97 11.0812 11.0811 +0.1102
17/9/2025 10.9709 23,540,692.12 10.9710 10.9709 +0.0283
16/9/2025 10.9426 23,527,873.02 10.9427 10.9426 +0.0294
15/9/2025 10.9132 23,464,473.93 10.9133 10.9132 +0.0171
12/9/2025 10.8961 23,344,449.74 10.8962 10.8961 -0.1653
11/9/2025 11.0614 23,698,738.11 11.0615 11.0614 +0.1289
10/9/2025 10.9325 23,422,372.23 10.9326 10.9325 -0.0783
9/9/2025 11.0108 23,590,220.26 11.0109 11.0108 -0.0496
8/9/2025 11.0604 23,696,492.14 11.0605 11.0604 +0.0128
5/9/2025 11.0476 23,669,035.62 11.0477 11.0476 +0.0775
4/9/2025 10.9701 23,502,997.27 10.9702 10.9701 +0.0286
3/9/2025 10.9415 23,441,823.05 10.9416 10.9415 +0.0034
2/9/2025 10.9381 23,437,162.91 10.9382 10.9381 -0.1206
29/8/2025 11.0587 23,695,663.74 11.0588 11.0587 -0.0115
28/8/2025 11.0702 23,726,400.26 11.0703 11.0702 -0.0274
27/8/2025 11.0976 23,785,273.67 11.0977 11.0976 +0.0460
26/8/2025 11.0516 23,686,587.31 11.0517 11.0516 -0.0047
25/8/2025 11.0563 23,699,130.11 11.0564 11.0563 -0.0960
22/8/2025 11.1523 23,894,475.29 11.1524 11.1523 +0.2629
21/8/2025 10.8894 23,332,721.37 10.8895 10.8894 -0.0574
20/8/2025 10.9468 23,457,416.48 10.9469 10.9468 -0.0455
19/8/2025 10.9923 23,552,430.61 10.9924 10.9923 +0.0097
18/8/2025 10.9826 23,476,000.64 10.9827 10.9826 +0.0026
15/8/2025 10.9800 23,470,529.54 10.9801 10.9800 -0.0502
14/8/2025 11.0302 23,577,810.16 11.0303 11.0302 -0.0843
13/8/2025 11.1145 23,351,916.59 11.1146 11.1145 +0.2929
8/8/2025 10.8216 22,761,263.19 10.8217 10.8216 +0.0135
7/8/2025 10.8081 22,742,297.25 10.8082 10.8081 +0.0057
6/8/2025 10.8024 22,730,331.85 10.8025 10.8024 -0.1008
5/8/2025 10.9032 22,942,451.45 10.9033 10.9032 -0.0217
4/8/2025 10.9249 22,988,189.40 10.9250 10.9249 +0.1208
1/8/2025 10.8041 22,734,004.75 10.8042 10.8041 -0.1094
31/7/2025 10.9135 22,961,304.74 10.9136 10.9135 -0.1560
30/7/2025 11.0695 23,289,580.49 11.0696 11.0695 -0.0735
29/7/2025 11.1430 23,447,583.40 11.1431 11.1430 -0.0444
25/7/2025 11.1874 23,541,182.60 11.1875 11.1874 +0.0284
24/7/2025 11.1590 23,481,297.50 11.1591 11.1590 +0.0580
23/7/2025 11.1010 23,442,627.07 11.1011 11.1010 +0.1236
22/7/2025 10.9774 23,181,571.12 10.9775 10.9774 +0.1599
21/7/2025 10.8175 22,843,941.90 10.8176 10.8175 -0.0319
18/7/2025 10.8494 22,911,389.26 10.8495 10.8494 -0.0421
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.