Menu Guide
NAV
Fund Search
Highlighted Funds
Top Performance Fund
Dividend
Fund Holidays
News/Research
Asset Allocation Strategy
Documents and Forms
Promotions
Fund Information
Compare Funds
KTAM Daily News
KTAM Edutainment
KTAM Smart Trade
PVD Online
Agent
TH
:
EN
HOME
ABOUT KTAM
MUTUAL FUNDS
RMF/LTF/SSF/ThaiESG
FIF / ETF
PROVIDENT FUNDS
PRIVATE FUNDS
INFRASTRUCTURE / REIT / PROPERTY FUNDS
Krung Thai Fixed Income FIF Enhanced17S Not for Retail Investors : KTFFE17S
NAV
Print Out
3 months
6 months
1 year
3 year
5 year
10 year
NAV as of
NAV
Change
Offer
Bid
Total NAV
(Unit:Baht)
30/06/2025
10.0230
+0.0034
3,141,692,814.76
30/05/2025
10.0196
+0.0166
3,140,609,181.63
30/04/2025
10.0030
+0.0090
3,135,421,446.42
Items Per Page:
10
20
30
Previous
1
...
Next
Note :
Past performance of the fund may not be indicative of future operation.