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

      Property Funds

      Buy/Sell Print Out

      Talaad Thai Leasehold Property Fund (TTLPF)

      NAV as of
      31/10/2025
      10.4715
      • Information
      • Related Documents
      • NAV of Fund
      • Dividend
      • Capital reduction payment history
      • Information
      • Related Documents
      • NAV of Fund
      • Dividend
      • Capital reduction payment history
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      Export File Excel

      Date (DD/MM/YYYY)

      Nav of Fund

      NAV

      31/10/2025 1,884,886,552.77 10.4715
      30/09/2025 1,854,946,658.29 10.3052
      31/08/2025 1,770,971,984.99 9.8387
      31/07/2025 1,829,167,993.30 10.162
      30/06/2025 1,799,297,350.94 9.9961
      31/05/2025 1,811,223,218.77 10.0623
      30/04/2025 1,868,700,359.15 10.3816
      31/03/2025 1,839,560,930.13 10.2197
      28/02/2025 1,847,439,250.52 10.2635
      31/01/2025 1,910,231,599.64 10.6124
      31/12/2024 1,880,091,482.87 10.4449
      30/11/2024 1,889,835,798.43 10.499
      31/10/2024 1,958,934,751.54 10.8829
      30/09/2024 1,927,642,888.82 10.7091
      31/08/2024 1,937,420,875.97 10.7634
      31/07/2024 2,004,485,617.58 11.136
      30/06/2024 1,974,332,869.38 10.9685
      31/05/2024 1,980,170,793.91 11.0009
      30/04/2024 2,049,946,191.69 11.3885
      31/03/2024 2,020,822,364.59 11.2267
      29/02/2024 2,107,390,540.50 11.7077
      31/01/2024 2,080,600,477.19 11.5588
      31/12/2023 2,049,787,372.78 11.3877
      30/11/2023 2,064,031,034.11 11.4668
      31/10/2023 2,115,269,887.26 11.7515
      30/09/2023 2,085,889,047.24 11.5882
      31/08/2023 2,044,121,675.99 11.3562
      31/07/2023 2,093,054,504.29 11.628
      30/06/2023 2,064,584,580.51 11.4699
      31/05/2023 2,063,593,475.00 11.4644
      30/04/2023 2,110,483,312.70 11.7249
      31/03/2023 2,080,997,975.66 11.5611
      28/02/2023 2,076,869,462.76 11.5381
      31/01/2023 2,122,450,535.40 11.7913
      31/12/2022 2,098,100,592.59 11.6561
      30/11/2022 2,100,153,470.90 11.6675
      31/10/2022 2,147,646,426.57 11.9313
      30/09/2022 2,119,614,440.46 11.7756
      31/08/2022 2,064,616,209.93 11.47
      31/07/2022 2,109,849,365.41 11.7213
      30/06/2022 2,082,169,512.51 11.5676
      31/05/2022 2,077,986,943.45 11.5443
      30/04/2022 2,126,949,543.24 11.8163
      31/03/2022 2,099,677,909.48 11.6648
      28/02/2022 2,090,690,163.37 11.6149
      31/01/2022 2,128,370,998.62 11.8242
      31/12/2021 2,100,491,995.62 11.6694
      30/11/2021 2,106,050,730.59 11.7002
      31/10/2021 2,133,120,986.14 11.8506
      30/09/2021 2,105,521,110.31 11.6973
      31/08/2021 2,037,274,897.81 11.3181
      31/07/2021 2,097,895,547.14 11.6549
      30/06/2021 2,090,867,124.55 11.6159
      31/05/2021 2,084,652,964.38 11.5814
      30/04/2021 2,136,543,442.49 11.8696
      31/03/2021 2,107,752,681.58 11.7097
      28/02/2021 2,094,369,495.73 11.6353
      31/01/2021 2,141,494,055.24 11.8971
      31/12/2020 2,111,424,182.64 11.7301
      30/11/2020 2,097,249,604.78 11.6513
      31/10/2020 2,151,370,135.49 11.952
      30/09/2020 2,124,162,689.82 11.8009
      31/08/2020 2,153,793,234.40 11.9655
      31/07/2020 2,185,975,520.35 12.1443
      30/06/2020 2,159,926,256.65 11.9995
      31/05/2020 2,145,068,227.58 11.917
      30/04/2020 2,201,523,064.89 12.2306
      31/03/2020 2,179,907,873.63 12.1105
      29/02/2020 2,150,783,603.95 11.9487
      31/01/2020 2,193,695,532.73 12.1871
      31/12/2019 2,163,957,109.03 12.0219
      30/11/2019 2,139,791,527.50 11.8877
      31/10/2019 2,189,846,888.05 12.1658
      30/09/2019 2,164,030,605.85 12.0223
      31/08/2019 2,132,762,644.28 11.8486
      31/07/2019 2,178,041,399.26 12.1002
      30/06/2019 2,149,723,944.78 11.9429
      31/05/2019 2,122,326,396.74 11.7907
      30/04/2019 2,170,222,771.27 12.0567
      31/03/2019 2,143,528,021.32 11.9084
      28/02/2019 2,115,907,520.39 11.755
      31/01/2019 2,158,247,146.17 11.9902
      31/12/2018 2,129,392,339.20 11.8299
      30/11/2018 2,107,639,280.75 11.7091
      31/10/2018 2,134,326,686.35 11.8574
      30/09/2018 2,107,007,396.40 11.7056
      31/08/2018 2,096,845,029.80 11.6491
      31/07/2018 2,145,838,432.65 11.9213
      30/06/2018 2,120,676,498.42 11.7815
      31/05/2018 2,094,938,448.74 11.6385
      30/04/2018 2,137,750,672.73 11.8763
      31/03/2018 2,109,782,091.41 11.721
      28/02/2018 2,081,559,803.09 11.5642
      31/01/2018 2,124,749,312.05 11.8041
      31/12/2017 2,101,849,145.12 11.6769
      30/11/2017 2,078,642,528.03 11.548
      31/10/2017 2,110,493,422.31 11.7249
      30/09/2017 2,083,498,283.65 11.5749
      31/08/2017 2,072,054,529.13 11.5114
      31/07/2017 2,123,556,843.92 11.7975
      30/06/2017 2,095,843,638.05 11.6435
      31/05/2017 2,068,997,053.82 11.4944
      30/04/2017 2,121,211,408.81 11.7845
      31/03/2017 2,091,059,399.34 11.6169
      28/02/2017 2,060,735,812.93 11.4485
      31/01/2017 2,112,070,843.81 11.7337
      31/12/2016 2,080,202,451.14 11.5566
      30/11/2016 2,055,642,526.02 11.4202
      31/10/2016 2,106,505,824.83 11.7028
      30/09/2016 2,076,602,959.71 11.5366
      31/08/2016 2,014,304,562.27 11.1905
      31/07/2016 2,060,961,753.92 11.4497
      30/06/2016 2,031,023,760.91 11.2834
      31/05/2016 2,004,811,467.25 11.1378
      30/04/2016 2,057,409,082.67 11.43
      31/03/2016 2,071,529,260.02 11.5084
      29/02/2016 1,997,780,702.07 11.0987
      31/12/2015 2,009,622,340.09 11.1645
      30/11/2015 1,984,520,342.71 11.0251
      31/10/2015 2,036,232,190.29 11.3124
      30/09/2015 2,008,960,653.33 11.1608
      31/08/2015 1,950,114,168.12 10.8339
      31/07/2015 1,989,724,955.86 11.054
      30/06/2015 1,976,385,723.49 10.9799
      31/05/2015 1,949,457,910.25 10.8303
      30/04/2015 1,997,069,244.91 11.0948
      28/02/2015 1,947,812,476.54 10.8211
      31/01/2015 1,980,027,312.65 11.0001
      31/12/2014 1,952,465,483.03 10.847
      30/11/2014 1,932,332,598.38 10.7351
      31/10/2014 1,965,761,768.62 10.9208
      30/09/2014 1,939,910,683.24 10.7772
      31/08/2014 1,954,664,740.94 10.8592
      31/07/2014 1,996,453,103.93 11.0914
      30/06/2014 1,971,379,028.29 10.9521
      31/05/2014 1,947,046,591.89 10.8169
      30/04/2014 1,990,377,325.87 11.0576
      31/03/2014 1,967,944,991.96 10.933
      28/02/2014 1,943,697,213.03 10.7983
      31/01/2014 1,984,693,623.78 11.026
      31/12/2013 1,958,950,340.22 10.883
      30/11/2013 1,939,409,110.29 10.7745
      31/10/2013 1,973,742,513.64 10.9652
      30/09/2013 1,948,054,763.22 10.8225
      31/08/2013 1,926,050,524.84 10.7002
      31/07/2013 1,968,161,327.54 10.9342
      30/06/2013 1,947,918,816.54 10.8217
      31/05/2013 1,988,895,446.69 11.0494
      30/04/2013 1,965,190,847.89 10.9177
      31/03/2013 1,940,219,582.55 10.779
      28/02/2013 1,915,276,140.25 10.6404
      31/01/2013 1,958,405,285.82 10.88
      31/12/2012 1,936,156,985.63 10.7564
      30/11/2012 1,916,514,878.47 10.6473
      31/10/2012 1,960,317,479.34 10.8906
      30/09/2012 1,936,357,835.18 10.7575
      31/08/2012 1,914,767,509.51 10.6376
      31/07/2012 1,959,821,862.85 10.8879
      30/06/2012 1,936,136,407.20 10.7563
      31/05/2012 1,912,433,373.42 10.6246
      30/04/2012 1,958,165,655.89 10.8786
      31/03/2012 1,934,186,426.58 10.7454
      29/02/2012 1,909,506,100.69 10.6083
      31/12/2011 1,922,969,345.47 10.6831
      30/11/2011 1,900,276,852.70 10.557
      31/10/2011 1,939,544,014.94 10.7752
      30/09/2011 1,916,281,821.03 10.646
      31/08/2011 1,835,054,001.41 10.1947
      31/07/2011 1,878,111,536.04 10.4339
      30/06/2011 1,855,413,578.41 10.3078
      31/05/2011 1,895,473,936.36 10.5304
      30/04/2011 1,873,837,838.51 10.4102

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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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