บริษัทหลักทรัพย์จัดการกองทุน กรุงไทย จำกัด (มหาชน)
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Krungthai Equity Plus 70/30 Thailand ESG Extra Fund (Class D) : KTEQ70PLUSX-D

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)

27/01/2026 10.5556 10.5555 323,037,751.10
26/01/2026 10.4467 10.4466 319,704,468.77
23/01/2026 10.4724 10.4723 320,506,655.18
22/01/2026 10.4792 10.4791 320,550,816.31
21/01/2026 10.5093 10.5092 321,472,885.06
20/01/2026 10.4583 10.4582 319,910,776.94
19/01/2026 10.4293 10.4292 319,024,579.34
16/01/2026 10.4289 10.4288 319,013,712.68
15/01/2026 10.3307 10.3306 316,063,190.78
14/01/2026 10.2453 10.2452 313,449,804.55
13/01/2026 10.1796 10.1795 311,442,053.16
12/01/2026 10.1868 10.1867 311,661,760.02
09/01/2026 10.2582 10.2581 313,848,682.70
08/01/2026 10.2850 10.2849 314,668,232.51
07/01/2026 10.3291 10.3290 316,017,225.74
06/01/2026 10.3485 10.3484 316,612,537.72
05/01/2026 10.3852 10.3851 318,081,346.89
30/12/2025 10.3474 10.3473 316,929,999.35
29/12/2025 10.3111 10.3110 315,820,397.23
26/12/2025 10.3546 10.3545 317,152,229.00
25/12/2025 10.3795 10.3794 317,963,314.30
24/12/2025 10.4094 10.4093 318,874,471.04
23/12/2025 10.3953 10.3952 318,548,081.35
22/12/2025 10.3543 10.3542 317,292,470.10
19/12/2025 10.3027 10.3026 315,713,286.54
18/12/2025 10.3043 10.3042 315,763,761.07
17/12/2025 10.3224 10.3223 316,317,037.35
16/12/2025 10.3305 10.3304 316,556,852.14
15/12/2025 10.3758 10.3757 317,952,046.87
12/12/2025 10.2718 10.2717 314,764,789.77
11/12/2025 10.2654 10.2653 314,569,295.21
09/12/2025 10.3168 10.3167 316,144,239.83
08/12/2025 10.2978 10.2977 315,562,493.51
04/12/2025 10.3387 10.3386 316,817,922.43
03/12/2025 10.2987 10.2986 315,590,702.57
02/12/2025 10.2645 10.2644 314,863,951.45
01/12/2025 10.2309 10.2308 313,833,712.04
28/11/2025 10.1426 10.1425 311,125,513.53
27/11/2025 10.1437 10.1436 311,159,746.49
26/11/2025 10.1814 10.1813 312,315,431.56
25/11/2025 10.2333 10.2332 313,908,814.67
24/11/2025 10.1377 10.1376 310,975,706.08
21/11/2025 10.1030 10.1029 309,571,573.02
20/11/2025 10.2620 10.2619 314,444,919.89
19/11/2025 10.1909 10.1908 312,264,957.17
18/11/2025 10.2154 10.2153 313,017,843.29
17/11/2025 10.2577 10.2576 314,314,024.69
14/11/2025 10.1331 10.1330 310,495,680.98
13/11/2025 10.2488 10.2487 314,041,762.77
12/11/2025 10.2249 10.2248 313,309,314.82
11/11/2025 10.3092 10.3091 315,893,990.83
10/11/2025 10.3360 10.3359 316,736,771.25
07/11/2025 10.3082 10.3081 315,884,050.88
06/11/2025 10.3641 10.3640 317,596,899.32
05/11/2025 10.2842 10.2841 315,152,464.02
04/11/2025 10.3028 10.3027 315,720,070.33
03/11/2025 10.3877 10.3876 318,324,850.64
31/10/2025 10.4114 10.4113 319,048,322.07
30/10/2025 10.4513 10.4512 320,279,054.90
29/10/2025 10.4492 10.4491 320,213,662.88
28/10/2025 10.4441 10.4440 320,058,221.53
Remark :
  • Past performance of the fund may not be indicative of future operation.

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Tel: 0-2686-6100 FAX: 0-2670-0430 Toll Free Number:1-800-295-592

Email: [email protected]

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