บริษัทหลักทรัพย์จัดการกองทุน กรุงไทย จำกัด (มหาชน)
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Krung Thai High Dividend Equity Fund (Class D) : KT-HiDiv-D

NAV

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3 months 6 months 1 year 3 year 5 year 10 year

NAV as of

NAV

Change

Offer

Bid

Total NAV (Unit:Baht)

04/12/2025 9.8035 9.7304 853,419,833.17
03/12/2025 9.9570 9.8828 866,905,167.81
02/12/2025 9.9351 9.8610 865,103,703.66
01/12/2025 9.8989 9.8251 863,952,398.32
28/11/2025 9.7901 9.7171 854,423,246.63
27/11/2025 9.7781 9.7052 854,077,941.08
26/11/2025 9.8219 9.7487 857,760,565.91
25/11/2025 9.8270 9.7537 858,168,982.60
24/11/2025 9.7627 9.6899 852,307,725.16
21/11/2025 9.7531 9.6804 850,483,047.94
20/11/2025 9.8420 9.7686 858,264,514.51
19/11/2025 9.7759 9.7030 852,493,082.42
18/11/2025 9.7857 9.7128 853,281,802.48
17/11/2025 9.8249 9.7517 858,632,013.40
14/11/2025 9.7040 9.6317 847,645,297.56
13/11/2025 9.7721 9.6993 853,404,851.39
12/11/2025 9.7838 9.7109 854,236,100.00
11/11/2025 9.8646 9.7911 861,277,338.00
10/11/2025 9.8717 9.7981 861,929,668.87
07/11/2025 9.8224 9.7492 857,668,898.41
06/11/2025 9.9034 9.8296 864,780,013.50
05/11/2025 9.8338 9.7605 858,583,070.69
04/11/2025 9.8717 9.7981 862,379,457.44
03/11/2025 9.9472 9.8731 870,540,162.51
31/10/2025 9.9590 9.8848 871,407,712.38
30/10/2025 9.9718 9.8975 872,505,668.86
29/10/2025 9.9126 9.8387 867,403,210.37
28/10/2025 9.9569 9.8827 871,399,208.18
27/10/2025 10.0271 9.9524 877,500,248.18
24/10/2025 10.1344 10.0589 887,098,254.66
22/10/2025 10.0300 9.9552 877,982,867.23
21/10/2025 9.9189 9.8450 868,548,297.52
20/10/2025 9.8629 9.7894 864,126,546.92
17/10/2025 9.7853 9.7124 857,376,779.28
16/10/2025 9.8835 9.8098 865,999,496.46
15/10/2025 9.8971 9.8233 867,410,421.86
14/10/2025 9.7274 9.6549 852,510,282.16
10/10/2025 9.8786 9.8050 864,850,320.20
09/10/2025 9.9469 9.8728 869,711,430.81
08/10/2025 9.9056 9.8318 866,618,717.82
07/10/2025 9.8860 9.8123 864,894,796.78
06/10/2025 9.8059 9.7328 858,129,594.70
03/10/2025 9.8714 9.7978 863,855,538.71
02/10/2025 9.8649 9.7914 863,302,048.91
01/10/2025 9.7992 9.7262 857,413,679.27
30/09/2025 9.8779 9.8043 864,271,222.21
29/09/2025 9.9687 9.8944 872,492,788.63
26/09/2025 9.9189 9.8450 867,083,941.81
25/09/2025 9.9330 9.8590 868,131,627.70
24/09/2025 9.8255 9.7523 858,695,106.15
23/09/2025 9.7918 9.7188 855,782,902.23
22/09/2025 9.8907 9.8170 864,177,421.10
19/09/2025 9.9724 9.8981 871,306,350.97
18/09/2025 9.9591 9.8849 871,085,370.88
17/09/2025 10.0318 9.9570 877,487,720.51
16/09/2025 10.0360 9.9612 877,787,959.10
15/09/2025 10.0276 9.9529 878,646,001.47
12/09/2025 10.0004 9.9259 875,915,756.91
11/09/2025 9.9913 9.9168 877,978,474.90
10/09/2025 9.9432 9.8691 873,976,360.09
09/09/2025 9.9494 9.8752 874,468,374.19
08/09/2025 9.8931 9.8194 869,038,272.07
05/09/2025 9.8887 9.8150 868,416,780.73
Note :
  • Past performance of the fund may not be indicative of future operation.

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