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  1. Home
  2. FIF / ETF
  3. Feeder Fund

Feeder Fund

KT-BTCETFFOF-UI-A : KTAM Bitcoin ETF Fund of Funds Not for Retail Investors (Class A)

▾
  • KTAF30M2 : KTAM Asian Fixed Income 30M2
  • KTAF30M1 : KTAM Asian Fixed Income 30M1
  • KT-AASIA-A : KTAM All Asia Pacific Equity Fund
  • KT-AGRIANDFOOD : KTAM Sustainable Agriculture and Food Fund
  • KT-ARB-A : KTAM Absolute Return Bond (Class A)
  • KT-ASEAN-A : KTAM ASEAN Equity Fund
  • KT-ASIAG-A : KTAM Asia Growth Equity Fund (Class A)
  • KT-ASIANBOND-A : KTAM Asian Bonds Fund (Class A)
  • KT-Ashares-A : KTAM China A Shares Equity Fund (Class A)
  • KT-BLOCKCHAIN-A : KTAM Blockchain Economy Fund (Class A)
  • KT-BTCETFFOF-UI-A : KTAM Bitcoin ETF Fund of Funds Not for Retail Investors (Class A)
  • KT-BOND : KTAM World Bond Fund
  • KT-CHINA-A : KTAM China Equity Fund
  • KT-CHINABOND-A : KTAM China Bond Fund (Class A)
  • KT-CLIMATE-A : KTAM Global Climate Change Equity Fund (Class A)
  • KT-CSBOND-A : KTAM Capital Securities Fund
  • KT-DHINCOME-A : KTAM Dynamic High Income Fund
  • KT-EMEQ-A : KTAM Emerging Markets Equity Fund (Class A)
  • KT-ENERGY : KTAM World Energy Fund
  • KT-EPIC-A : KTAM E.P.I.C. Global Equity Opportunities Fund (Class A)
  • KT-EUROSM : KTAM European Small Cap Equity Fund
  • KT-EUROTECH-A : KTAM European Technology Equity Fund (Class A)
  • KT-EURO50-A : KTAM EURO 50 Fund (Class A)
  • KT-FINANCE-A : KTAM World Financial Services Fund (Class A)
  • KT-GCINCOME-R : KTAM Global Credit Income Fund (Class R)
  • KT-GCINCOME-A : KTAM Global Credit Income Fund (Class A)
  • KT-GESG-A : KTAM Global Sustainable Growth Equity Fund (Class A)
  • KT-GESG-P : KTAM Global Sustainable Growth Equity Fund (Class P)
  • KT-GEQ-A : KTAM Global Equity Passive Fund (Class A)
  • KTGF30M1 : KTAM Global Fixed Maturity 30M1
  • KTGF4Y1 : KTAM Global Fixed Income 4Y1
  • KT-GFO-A : KTAM Global Founders and Owners Fund (Class A)
  • KT-GMO-A : KTAM Global Macro Opportunities Fund
  • KT-GOI-A : KTAM Global Optimal Income Fund
  • KT-GOLD : KTAM Gold Fund
  • KT-GOLDUH-A : KTAM Gold Fund Unhedged (Class A)
  • KT-GPEQ-UI : KTAM Global Private Equity Fund Not for Retail Investors
  • KT-GREEN-A : KTAM Green Energy Fund (Class A)
  • KT-HEALTHCARE-A : KTAM World Healthcare Fund
  • KT-IGF-A : KTAM Income and Growth Fund (Class A)
  • KT-IGF-R : KTAM Income and Growth Fund (Class R)
  • KT-INDIA-A : KTAM India Equity Fund (Class A)
  • KT-INDIA-D : KTAM India Equity Fund (Class D)
  • KT-JAPANALL-A : KTAM Japan All Cap Equity Fund (Class A)
  • KT-JAPANSM-A : KTAM Japan Small Cap Equity Fund (Class A)
  • KT-JAPANSM-D : KTAM Japan Small Cap Equity Fund (Class D)
  • KT-JPFUND-A : KTAM Japan Equity Passive Fund (Class A)
  • KT-LUXURY-A : KTAM Luxury Fund (Class A)
  • KT-LVTR-A : KTAM Low Volatility Total Return Fund (Class A)
  • KT-MAB-A : KTAM Multi Manager Asset Balanced Fund (Class A)
  • KT-MFB-A : KTAM Multi Manager Flexible Bond Fund (Class A)
  • KT-MFE-A : KTAM Multi Manager Flexible Equity Fund (Class A)
  • KT-MINING : KTAM World Metals and Mining Fund
  • KT-NASDAQ-A : KTAM NASDAQ 100 Fund (Class A)
  • KT-OIL : KTAM Oil Fund
  • KTOIL5-1 : KTAM OIL Trigger Fund 5%
  • KTPCREDH-UI-A : KTAM U.S. Private Credit Fund Not for Retail Investors (Class A)
  • KTPCREDH-UI-R : KTAM U.S. Private Credit Fund Not for Retail Investors (Class R)
  • KTPCRED-UI-A : KTAM U.S. Private Credit Fund Unhedged Not for Retail Investors (Class A)
  • KTPCRED-UI-R : KTAM U.S. Private Credit Fund Unhedged Not for Retail Investors (Class R)
  • KT-PRECIOUS : KTAM World Gold and Precious Equity Fund
  • KT-PROPERTY-A : KTAM World Property Fund (Class A)
  • KT-PROPERTY-D : KTAM World Property Fund (Class D)
  • KT-PROPERTY-P : KTAM World Property Fund (Class P)
  • KT-SUPPLY-UI : กองทุนเปิดเคแทม ซัพพลาย เชน ไฟแนนซ์ ฟันด์ ห้ามขายผู้ลงทุนรายย่อย
  • KT-TECHNOLOGY-A : KTAM World Technology Fund (Class A)
  • KT-US-A : KTAM US Growth Equity Fund
  • KT-USSM-A : KTAM US Small Cap Equity Passive Fund (Class A)
  • KT-US500-A : KTAM US 500 Fund (Class A)
  • KT-WCORP : KTAM World Corporate Bond Fund
  • KT-VIETNAM-A : KTAM Vietnam Equity Fund (Class A)
  • KT-WEQ-A : KTAM World Equity Fund (Class A)
  • KT-WTAI-A : KTAM World Technology Artificial Intelligence Equity Fund (Class A)
  • KT-WQUALITY-A : KTAM World Quality Factor Equity Passive Fund (Class A)
Buy/Sell Print Out

KTAM Bitcoin ETF Fund of Funds Not for Retail Investors (Class A) (KT-BTCETFFOF-UI-A)

NAV as of
07/08/2025
11.0872
  • Information
  • Related Documents
  • NAV of Fund
  • Performance Graph
  • Past Performance
  • Past Performance by Calendar Year
  • Information
  • Related Documents
  • NAV of Fund
  • Performance Graph
  • Past Performance
  • Past Performance by Calendar Year
Compare NAV Export File Excel

Date (DD/MM/YYYY)

Nav of Fund

NAV

07/08/2025 134,554,506.23 11.0872
06/08/2025 127,273,125.45 10.9028
05/08/2025 124,828,880.82 10.7443
04/08/2025 126,382,560.98 10.878
01/08/2025 125,986,530.30 10.8439
31/07/2025 128,951,113.35 11.1246
30/07/2025 127,773,904.93 11.0786
29/07/2025 128,094,637.32 11.1209
25/07/2025 125,727,409.06 11.0442
24/07/2025 126,048,709.52 11.2016
23/07/2025 125,189,350.62 11.1252
22/07/2025 125,210,413.05 11.2589
21/07/2025 122,650,400.66 11.0376
18/07/2025 125,931,812.96 11.104
17/07/2025 127,068,832.12 11.2914
16/07/2025 127,142,231.56 11.3243
14/07/2025 128,529,875.59 11.3573
11/07/2025 127,384,453.05 11.2384
09/07/2025 121,272,106.26 10.6991
08/07/2025 117,555,545.75 10.3536
07/07/2025 117,693,380.77 10.3207
03/07/2025 119,030,617.60 10.3551
02/07/2025 119,373,521.31 10.4279
01/07/2025 114,470,270.74 9.9996
30/06/2025 120,215,791.86 10.2392
27/06/2025 119,782,586.21 10.2023
26/06/2025 116,824,383.69 10.203
25/06/2025 116,862,475.07 10.2927
24/06/2025 112,838,819.77 10.1126
23/06/2025 109,860,203.24 9.983
20/06/2025 108,847,641.83 9.936
18/06/2025 108,716,346.58 9.924
17/06/2025 109,606,271.64 10.0052
16/06/2025 113,290,090.75 10.3433
13/06/2025 108,022,636.40 9.9978
12/06/2025 109,877,417.01 10.1695
11/06/2025 112,299,365.62 10.3936
10/06/2025 114,027,351.85 10.4886
09/06/2025 113,019,782.19 10.3959
06/06/2025 108,420,137.34 9.9728
05/06/2025 105,763,928.91 9.7285
04/06/2025 109,405,187.50 10.0634
30/05/2025 109,405,760.76 10.0635
29/05/2025 110,476,946.64 10.1429
28/05/2025 111,425,855.72 10.2301
27/05/2025 114,964,918.84 10.5451
23/05/2025 121,358,388.00 10.4086
22/05/2025 129,511,190.07 10.6964
21/05/2025 125,960,146.08 10.4594
20/05/2025 125,345,882.67 10.4084
19/05/2025 123,321,739.45 10.2403
16/05/2025 122,458,183.91 10.1705
15/05/2025 124,170,522.36 10.1066
14/05/2025 128,024,131.45 10.0945
13/05/2025 133,842,709.88 10.2364
09/05/2025 130,912,790.32 10.0124
08/05/2025 128,002,211.05 9.7897
07/05/2025 120,842,434.15 9.2497
06/05/2025 119,305,385.94 9.1321
02/05/2025 123,481,764.84 9.4517
30/04/2025 120,423,926.03 9.2555
29/04/2025 121,106,904.58 9.3635
28/04/2025 121,487,053.45 9.3929
25/04/2025 121,565,154.81 9.4142
24/04/2025 119,107,326.71 9.2392
23/04/2025 118,799,006.99 9.2153
22/04/2025 115,465,024.62 8.9567
21/04/2025 110,007,556.44 8.538
17/04/2025 107,515,266.97 8.3445
16/04/2025 106,188,925.44 8.28
11/04/2025 106,560,587.22 8.3089
10/04/2025 103,009,261.11 8.032
09/04/2025 107,837,691.93 8.4085
08/04/2025 101,111,500.72 7.8918
04/04/2025 108,647,046.37 8.4799
03/04/2025 106,237,610.51 8.2919
02/04/2025 112,268,113.86 8.7626
01/04/2025 109,620,275.96 8.5559
31/03/2025 100,733,817.78 8.2487
28/03/2025 102,537,002.96 8.3963
27/03/2025 108,247,555.17 8.6961
26/03/2025 108,935,641.89 8.6693
25/03/2025 112,043,507.32 8.8353
24/03/2025 111,886,138.22 8.8229
21/03/2025 106,395,515.07 8.3899
20/03/2025 106,248,623.62 8.3783
19/03/2025 107,681,367.05 8.4913
18/03/2025 103,629,618.37 8.1718
17/03/2025 106,527,751.74 8.4004
14/03/2025 106,584,659.28 8.4048
13/03/2025 101,445,299.00 8.0011
12/03/2025 104,855,434.82 8.2858
11/03/2025 104,964,692.56 8.2984
10/03/2025 99,977,166.75 7.9041
07/03/2025 109,017,859.03 8.6345
06/03/2025 106,941,649.59 8.8668
05/03/2025 107,951,911.84 8.9834
04/03/2025 104,215,140.97 8.6832
03/03/2025 104,416,247.00 8.7024
28/02/2025 102,004,960.57 8.5039
27/02/2025 100,186,254.11 8.354
26/02/2025 96,700,448.17 8.4001
25/02/2025 100,734,620.72 8.7532
24/02/2025 106,921,276.07 9.2907
21/02/2025 108,338,619.00 9.4156
20/02/2025 109,599,469.56 9.7833
19/02/2025 106,767,578.09 9.5615
18/02/2025 104,124,842.40 9.3603
14/02/2025 107,516,721.26 9.6652
13/02/2025 106,402,174.29 9.614
11/02/2025 105,025,371.13 9.579
10/02/2025 106,593,396.61 9.7585
07/02/2025 103,438,713.88 9.515
06/02/2025 104,886,242.60 9.68
05/02/2025 103,257,106.77 9.6667
04/02/2025 105,546,629.05 9.8811
03/02/2025 108,724,043.75 10.1813
31/01/2025 103,195,494.96 10.0877
30/01/2025 106,902,508.25 10.4501
29/01/2025 103,290,364.69 10.3874
28/01/2025 99,931,720.94 10.1492
27/01/2025 99,313,019.44 10.0863
24/01/2025 101,409,460.73 10.4272
23/01/2025 101,098,353.46 10.3796
22/01/2025 102,595,048.49 10.4268
21/01/2025 113,499,332.68 10.6784
17/01/2025 56,585,212.07 10.6589
16/01/2025 57,586,153.61 10.2582
15/01/2025 57,421,697.32 10.2289
14/01/2025 55,509,614.30 9.8936
13/01/2025 51,072,355.98 9.6323
10/01/2025 50,781,620.05 9.6895
08/01/2025 50,002,185.30 9.6163
07/01/2025 46,012,202.60 9.8326
06/01/2025 48,918,069.69 10.4588
03/01/2025 42,639,474.67 10.0299
02/01/2025 40,370,145.04 9.8571
30/12/2024 38,867,358.03 9.4986
27/12/2024 38,502,570.32 9.5303
26/12/2024 38,876,637.70 9.6719
24/12/2024 39,103,518.60 9.9744
23/12/2024 36,481,817.71 9.3876
20/12/2024 38,090,162.50 9.8269
19/12/2024 34,651,637.85 9.8329
18/12/2024 35,868,874.15 10.1783
17/12/2024 38,089,878.14 10.8086
16/12/2024 37,518,146.22 10.6463
13/12/2024 36,167,434.97 10.263
12/12/2024 35,248,458.72 10.0023
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2)

 
An investment unit is not a deposit, and thus, it carries investment risks. Investors are urged to only invest if the fund corresponds with their own objectives and only after they have acknowledged all risks and understands that the result of the investment may be more or less than the initial sum.
3) Under unusual circumstances, the settlement of a redemption order may take longer than the period stated in the prospectus.
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