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      1. Home
      2. Infrastruture / REIT / Property Funds
      3. Infrastructure Funds

      Infrastructure Funds

      Buy/Sell Print Out

      Electricity Generating Authority of Thailand Infrastructure Fund (EGATIF)

      NAV as of
      31/10/2025
      7.9982
      • Information
      • Related Documents
      • NAV of Fund
      • Dividend
      • Capital reduction payment history
      • Information
      • Related Documents
      • NAV of Fund
      • Dividend
      • Capital reduction payment history
      Demo
      Export File Excel

      Date (DD/MM/YYYY)

      Nav of Fund

      NAV

      31/10/2025 16,680,374,217.86 7.9982
      30/09/2025 16,625,565,663.21 7.9719
      31/08/2025 16,646,385,041.42 7.9819
      31/07/2025 17,007,467,941.04 8.1551
      30/06/2025 16,940,202,358.23 8.1228
      31/05/2025 16,916,088,677.91 8.1112
      30/04/2025 17,293,969,996.52 8.2924
      31/03/2025 17,222,783,432.48 8.2583
      28/02/2025 16,656,997,966.17 7.987
      31/01/2025 17,038,725,338.57 8.17
      31/12/2024 16,968,240,821.03 8.1362
      30/11/2024 16,959,703,848.34 8.1322
      31/10/2024 17,190,927,851.56 8.243
      30/09/2024 17,096,469,780.32 8.1977
      31/08/2024 17,228,986,202.43 8.2613
      31/07/2024 17,641,318,742.30 8.459
      30/06/2024 17,571,589,810.83 8.4256
      31/05/2024 17,530,561,219.90 8.4059
      30/04/2024 17,923,563,776.51 8.5943
      31/03/2024 17,831,373,774.39 8.5501
      29/02/2024 17,693,264,967.65 8.4839
      31/01/2024 18,031,186,756.34 8.6459
      31/12/2023 17,949,747,245.74 8.6069
      30/11/2023 17,864,514,646.14 8.566
      30/12/2023 18,738,316,730.58 8.985
      31/10/2023 18,212,352,502.91 8.7328
      30/09/2023 18,152,051,123.75 8.7039
      31/08/2023 18,078,523,843.98 8.6686
      31/07/2023 18,476,127,359.79 8.8593
      30/06/2023 18,400,698,653.00 8.8231
      31/05/2023 18,325,998,420.17 8.7873
      30/04/2023 18,729,333,861.43 8.9807
      31/03/2023 18,738,316,730.58 8.985
      28/02/2023 18,629,531,308.06 8.9328
      31/01/2023 18,954,620,338.13 9.0887
      31/12/2022 18,877,594,135.48 9.0518
      30/11/2022 18,828,609,190.34 9.0283
      31/10/2022 19,177,051,939.16 9.1954
      30/09/2022 19,113,775,054.68 9.165
      31/08/2022 19,030,533,405.84 9.1251
      31/07/2022 19,447,069,860.98 9.3249
      30/06/2022 19,373,145,595.39 9.2894
      31/05/2022 19,270,486,640.69 9.2402
      30/04/2022 19,640,149,369.42 9.4174
      31/03/2022 19,566,277,111.15 9.382
      28/02/2022 19,919,924,480.73 9.5516
      31/01/2022 20,323,154,948.12 9.7449
      31/12/2021 20,240,191,263.14 9.7052
      30/11/2021 20,188,769,207.09 9.6805
      31/10/2021 20,619,929,853.37 9.8872
      30/09/2021 20,553,166,802.39 9.8552
      31/08/2021 20,423,555,166.85 9.7931
      31/07/2021 20,679,382,489.92 9.9157
      30/06/2021 20,598,599,467.91 9.877
      31/05/2021 20,575,185,657.20 9.8658
      30/04/2021 20,876,313,579.67 10.0102
      31/03/2021 20,804,944,908.72 9.976
      28/02/2021 21,663,342,415.08 10.3876
      31/01/2021 22,003,823,015.03 10.5508
      31/12/2020 21,925,482,003.23 10.5133
      30/11/2020 21,122,464,918.66 10.1282
      31/10/2020 21,504,751,604.56 10.3115
      30/09/2020 21,517,788,850.40 10.3178
      31/08/2020 21,606,599,933.01 10.3603
      31/07/2020 21,943,695,850.90 10.522
      30/06/2020 21,844,567,168.24 10.4745
      31/05/2020 21,779,673,102.93 10.4433
      30/04/2020 22,109,197,187.81 10.6013
      31/03/2020 22,009,447,169.67 10.5535
      29/02/2020 20,893,197,469.69 10.0183
      31/01/2020 21,202,828,352.47 10.1667
      31/12/2019 21,115,665,428.56 10.1249
      30/11/2019 21,163,201,388.53 10.1477
      31/10/2019 21,513,231,802.04 10.3156
      30/09/2019 21,424,905,911.65 10.2732
      31/08/2019 21,293,243,716.72 10.2101
      31/07/2019 21,579,480,937.36 10.3473
      30/06/2019 21,491,166,833.15 10.305
      31/05/2019 21,422,749,412.96 10.2722
      30/04/2019 21,749,969,620.78 10.4291
      31/03/2019 21,662,226,689.42 10.387
      28/02/2019 21,509,119,691.72 10.3136
      31/01/2019 21,828,623,567.49 10.4668
      31/12/2018 21,739,536,914.80 10.4241
      30/11/2018 21,108,521,671.47 10.1215
      31/10/2018 21,461,711,862.95 10.2909
      30/09/2018 21,371,332,631.46 10.2475
      31/08/2018 20,655,549,556.17 9.9043
      31/07/2018 20,929,535,778.73 10.0357
      30/06/2018 20,838,237,499.00 9.9919
      31/05/2018 21,397,088,660.44 10.2599
      30/04/2018 21,733,880,598.46 10.4214
      31/03/2018 21,642,180,954.33 10.3774
      28/02/2018 21,127,323,760.13 10.1305
      31/01/2018 21,430,184,904.21 10.2758
      31/12/2017 21,337,712,609.94 10.2314
      30/11/2017 22,397,565,501.54 10.7396
      31/10/2017 22,742,130,965.78 10.9048
      30/09/2017 22,648,409,721.52 10.8599
      31/08/2017 21,637,387,785.41 10.3751
      31/07/2017 21,981,631,403.38 10.5402
      30/06/2017 21,887,517,696.62 10.495
      31/05/2017 21,068,135,557.18 10.1021
      30/04/2017 21,348,235,608.17 10.2365
      31/03/2017 21,253,062,406.99 10.1908
      28/02/2017 20,787,812,369.88 9.9677
      31/01/2017 20,942,400,469.87 10.0419
      31/12/2016 20,849,066,506.94 9.9971
      30/11/2016 20,793,738,387.94 9.9706
      31/10/2016 21,368,068,730.56 10.246
      30/09/2016 21,272,483,999.90 10.2001
      31/08/2016 20,873,574,719.76 10.0089
      31/07/2016 20,906,431,789.35 10.0247
      30/06/2016 20,812,133,321.64 9.9794
      31/05/2016 20,935,677,552.94 10.0386
      30/04/2016 21,463,996,537.11 10.292
      31/03/2016 21,365,981,310.98 10.245
      29/02/2016 21,172,241,187.70 10.1521
      31/12/2015 21,219,412,023.60 10.1747
      30/11/2015 21,648,263,293.84 10.3803
      31/10/2015 21,776,856,447.24 10.442
      30/09/2015 21,675,936,202.04 10.3936
      31/08/2015 21,026,453,047.84 10.0822
      31/07/2015 20,926,208,808.24 10.0341
      08/07/2015 20,826,898,528.47 9.9865
      31/05/2015 20,855,000,000.00 10.00

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      1) Investments contain risks. Please study relevant information carefully before making any investment decision.
      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.
      4) In case that the fund cannot maintain its liquidity at the level that the Securities and Exchange Commission (SEC) has stipulated, investors may not be able to redeem the investment units.
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