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  2. RMF/LTF/SSF/ThaiESG
  3. Thailand ESG Extra Fund (Thai ESGX)

Thailand ESG Extra Fund (Thai ESGX)

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

▾
  • KTEQ70PLUSX-D : Krungthai Equity Plus 70/30 Thailand ESG Extra Fund (Class D)
  • KTEQ70PLUSX-L : Krungthai Equity Plus 70/30 Thailand ESG Extra Fund (Class L)
  • KTEQDIVX-D : Krungthai Dividend Equity Thailand ESG Extra Fund (Class D)
  • KTEQDIVX-L : Krungthai Dividend Equity Thailand ESG Extra Fund (Class L)
  • KTEQPLUSX-D : Krungthai Equity Plus Thailand ESG Extra Fund (Class D)
  • KTEQPLUSX-L : Krungthai Equity Plus Thailand ESG Extra Fund (Class L)
Buy/Sell Print Out

Krungthai Equity Plus 70/30 Thailand ESG Extra Fund (Class D) (KTEQ70PLUSX-D)

NAV as of
08/08/2025
10.2691
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  • Information
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Compare NAV Export File Excel

Date (DD/MM/YYYY)

Nav of Fund

NAV

08/08/2025 316,009,708.16 10.2691
07/08/2025 317,235,822.43 10.3089
06/08/2025 316,343,414.75 10.2866
05/08/2025 313,709,650.14 10.201
04/08/2025 310,330,903.05 10.0802
01/08/2025 308,302,940.29 10.0143
31/07/2025 314,359,002.07 10.211
30/07/2025 314,877,897.61 10.2279
29/07/2025 313,002,598.21 10.1669
25/07/2025 309,224,940.13 10.0442
24/07/2025 307,924,814.50 9.9987
23/07/2025 308,624,298.57 10.0294
22/07/2025 303,260,563.56 9.8552
21/07/2025 306,631,915.64 9.9648
18/07/2025 306,828,075.72 9.9675
17/07/2025 306,107,178.71 9.9441
16/07/2025 299,031,569.39 9.7137
15/07/2025 299,737,589.91 9.7401
14/07/2025 295,966,060.20 9.6175
11/07/2025 291,521,629.74 9.483
09/07/2025 289,843,111.28 9.4283
08/07/2025 291,050,656.66 9.4576
07/07/2025 292,788,358.50 9.5141
04/07/2025 292,187,182.78 9.4946
03/07/2025 293,754,247.01 9.5453
02/07/2025 292,079,513.71 9.49
01/07/2025 291,398,098.13 9.4678
30/06/2025 214,159,146.69 9.3362
27/06/2025 175,016,744.89 9.2989
26/06/2025 158,308,889.30 9.4569
25/06/2025 137,443,499.72 9.4442
24/06/2025 128,948,063.54 9.3748
23/06/2025 113,603,963.80 9.109
20/06/2025 108,014,154.17 9.1159
19/06/2025 100,660,527.85 9.1057
18/06/2025 98,985,439.59 9.2829
17/06/2025 96,264,734.82 9.3991
16/06/2025 92,350,402.48 9.4009
13/06/2025 90,596,644.46 9.4592
12/06/2025 85,208,780.38 9.5001
11/06/2025 81,810,864.36 9.5764
10/06/2025 79,800,464.39 9.5662
09/06/2025 75,918,012.58 9.5315
06/06/2025 71,293,721.39 9.55
05/06/2025 68,742,130.18 9.5701
04/06/2025 64,389,529.83 9.5084
30/05/2025 62,157,362.60 9.5826
29/05/2025 59,132,199.60 9.6589
28/05/2025 57,916,548.91 9.6566
27/05/2025 55,246,851.68 9.6563
26/05/2025 51,253,213.67 9.7469
23/05/2025 49,536,141.30 9.7431
22/05/2025 46,672,758.14 9.7298
21/05/2025 42,979,826.87 9.7579
20/05/2025 40,498,151.78 9.8252
19/05/2025 36,876,199.76 9.8061
16/05/2025 34,352,571.70 9.8668
15/05/2025 32,765,985.45 9.8599
14/05/2025 31,215,455.96 9.9739
13/05/2025 28,543,495.12 9.9869
09/05/2025 28,571,723.67 9.9967
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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.
5)
 
Investors should carefully study the prospectus and keep a copy for future reference. When in doubt, please contact Krung Thai Asset Management, the selling agent, or authorized representative before executing the investment order.
6)
 
Investors who wish to receive more information or additional documents or have questions about the investment, are encouraged to contact Krung Thai Asset Management, the selling agent, or authorized representative at their convenience.
7)

 
A mutual fund is a juristic person, separated from Krung Thai Asset Management. Therefore, Krung Thai Asset Management does not have any obligation to make up for any loss on investment. The performance of the mutual fund is not dependent on the financial condition or the operating performance of Krung Thai Asset Management.
8)
 
Investors can review information that may affect their investment decision such as matters regarding business transactions with related parties, at the SEC or via its website (http://www.sec.or.th)
9)

 
Krung Thai Asset Management may hold and manage other securities or assets for its proprietary investments in similar manner to investments made for funds, provided measures are established to prevent conflict of interests to ensure fairness to unitholders as stipulated by the SEC.
10)
 
Fund performance measurements shown on this website is in accordance with the fund performance measurement standards set by the Association of Investment Management Companies.
11) Past performance of funds may not be indicative of future performance.
12) For Provident Funds and Long-Term Equity Funds:
  12.1) Investors cannot resell, transfer, pledge or use investment units as collateral.
  12.2) Holders of investment units are not entitled to tax privileges unless they fully comply with all investment conditions. Failing to do so will result in the mandatory return of all previously-obtained tax privileges within an agreed-upon deadline, otherwise additional payment and fines will apply.
13)

 
Krung Thai Asset Management allow its employees to have personal securities trading accounts as long as they acknowledge and comply with the code of ethics and all requirements of the Association of Investment Management Companies, while disclosing the details of their investments to the company, which will accordingly monitor and control the employees’ stock trades.
14)


 
Information appearing on this website have been carefully prepared and collected from reliable sources in order to assure maximum accuracy. However, Krung Thai Asset Management and its employees cannot verify or guarantee the correctness, the completeness and the credibility of any information due to problems inherent with the data itself or any other reasons. Therefore, in utilizing any information shown on this website, investors must be cautious and also refer to other sources when formulating a decision.
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