บริษัทหลักทรัพย์จัดการกองทุน กรุงไทย จำกัด (มหาชน)
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Krung Thai Property and Infrastructure Flexible Fund (Class A) : KT-PIF-A

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)

27/01/2026 11.6414 11.5260 1,548,021,932.84
26/01/2026 11.5650 11.4504 1,538,335,192.73
23/01/2026 11.5245 11.4103 1,537,386,177.95
22/01/2026 11.5237 11.4095 1,536,577,255.64
21/01/2026 11.4687 11.3550 1,529,327,982.23
20/01/2026 11.5225 11.4083 1,539,320,048.43
19/01/2026 11.5243 11.4101 1,542,584,024.86
16/01/2026 11.5206 11.4064 1,542,314,044.67
15/01/2026 11.5164 11.4023 1,539,746,959.29
14/01/2026 11.6180 11.5029 1,553,611,027.71
13/01/2026 11.6298 11.5146 1,571,597,574.87
12/01/2026 11.6146 11.4995 1,574,213,264.43
09/01/2026 11.6515 11.5360 1,579,819,393.47
08/01/2026 11.7246 11.6084 1,587,742,544.21
07/01/2026 11.6928 11.5769 1,601,766,988.18
06/01/2026 11.6917 11.5758 1,601,857,201.44
05/01/2026 11.6393 11.5240 1,595,260,617.79
30/12/2025 11.6465 11.5311 1,591,848,075.19
29/12/2025 11.5903 11.4754 1,584,040,402.05
26/12/2025 11.5493 11.4349 1,578,539,013.35
25/12/2025 11.5328 11.4185 1,576,222,838.23
24/12/2025 11.5129 11.3988 1,574,169,678.14
23/12/2025 11.4322 11.3189 1,563,403,522.73
22/12/2025 11.3823 11.2695 1,557,465,306.08
19/12/2025 11.3813 11.2685 1,587,013,862.41
18/12/2025 11.3570 11.2445 1,584,303,387.14
17/12/2025 11.3212 11.2090 1,579,374,691.37
16/12/2025 11.3690 11.2563 1,591,157,397.72
15/12/2025 11.3468 11.2344 1,588,703,944.25
12/12/2025 11.3400 11.2276 1,588,424,895.97
11/12/2025 11.3336 11.2213 1,589,932,430.36
09/12/2025 11.2963 11.1844 1,587,002,759.85
08/12/2025 11.3136 11.2015 1,588,564,532.75
04/12/2025 11.3668 11.2542 1,596,041,355.76
03/12/2025 11.3965 11.2836 1,597,225,091.30
02/12/2025 11.3992 11.2862 1,597,256,771.24
01/12/2025 11.3717 11.2590 1,592,980,062.12
28/11/2025 11.4581 11.3446 1,606,253,953.15
27/11/2025 11.4242 11.3110 1,602,123,880.52
26/11/2025 11.3988 11.2858 1,598,969,619.79
25/11/2025 11.4296 11.3163 1,603,456,399.07
24/11/2025 11.3915 11.2786 1,599,078,994.22
21/11/2025 11.3173 11.2051 1,588,494,556.23
20/11/2025 11.3395 11.2271 1,593,613,860.59
19/11/2025 11.3279 11.2156 1,592,702,144.74
18/11/2025 11.2958 11.1839 1,588,572,760.27
17/11/2025 11.3463 11.2339 1,595,759,530.91
14/11/2025 11.2760 11.1643 1,586,092,644.94
13/11/2025 11.3682 11.2555 1,598,846,115.45
12/11/2025 11.4299 11.3166 1,605,049,235.26
11/11/2025 11.4490 11.3355 1,617,275,736.49
10/11/2025 11.3950 11.2821 1,609,418,991.59
07/11/2025 11.3395 11.2271 1,602,639,317.55
06/11/2025 11.3109 11.1988 1,597,302,572.01
05/11/2025 11.2885 11.1766 1,595,062,982.95
04/11/2025 11.2548 11.1433 1,587,027,341.39
03/11/2025 11.3111 11.1990 1,601,517,524.35
31/10/2025 11.3276 11.2153 1,604,077,180.09
30/10/2025 11.3367 11.2244 1,599,850,642.05
29/10/2025 11.4143 11.3012 1,618,029,150.91
28/10/2025 11.4175 11.3044 1,618,412,413.53
Note :
  • Past performance of the fund may not be indicative of future operation.

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