บริษัทหลักทรัพย์จัดการกองทุน กรุงไทย จำกัด (มหาชน)
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Krung Thai High Dividend Equity Fund (Class A) : KT-HiDiv-A

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)

15/12/2025 10.3467 10.2696 59,807,823.49
12/12/2025 10.2615 10.1850 59,314,977.09
11/12/2025 10.2350 10.1587 59,149,705.19
09/12/2025 10.2498 10.1734 59,283,283.71
08/12/2025 10.2427 10.1664 59,231,839.37
04/12/2025 10.2978 10.2210 59,551,283.67
03/12/2025 10.3000 10.2232 59,601,062.82
02/12/2025 10.2772 10.2006 60,439,879.28
01/12/2025 10.2398 10.1635 60,207,981.24
28/11/2025 10.1273 10.0518 59,641,551.35
27/11/2025 10.1148 10.0394 59,562,637.32
26/11/2025 10.1604 10.0847 62,226,546.24
25/11/2025 10.1657 10.0899 62,254,206.56
24/11/2025 10.0991 10.0238 61,878,515.73
21/11/2025 10.0892 10.0140 61,844,704.79
20/11/2025 10.1812 10.1053 62,409,036.65
19/11/2025 10.1128 10.0374 61,984,424.48
18/11/2025 10.1230 10.0475 62,026,433.22
17/11/2025 10.1636 10.0878 62,271,201.41
14/11/2025 10.0385 9.9637 61,495,614.95
13/11/2025 10.1090 10.0336 61,913,329.20
12/11/2025 10.1210 10.0456 61,987,483.55
11/11/2025 10.2046 10.1285 62,406,992.20
10/11/2025 10.2119 10.1358 62,467,979.17
07/11/2025 10.1609 10.0852 62,146,535.56
06/11/2025 10.2448 10.1684 62,607,666.27
05/11/2025 10.1727 10.0969 62,197,048.89
04/11/2025 10.2119 10.1358 62,375,810.99
03/11/2025 10.2902 10.2135 62,902,210.50
31/10/2025 10.3024 10.2256 64,297,950.26
30/10/2025 10.3156 10.2387 64,355,912.16
29/10/2025 10.2543 10.1779 63,879,499.92
28/10/2025 10.3002 10.2234 64,624,815.31
27/10/2025 10.3727 10.2954 65,251,429.69
24/10/2025 10.4837 10.4056 68,161,819.68
22/10/2025 10.3756 10.2983 67,813,694.21
21/10/2025 10.2609 10.1844 66,759,613.31
20/10/2025 10.2029 10.1268 66,377,208.60
17/10/2025 10.1227 10.0472 65,850,970.84
16/10/2025 10.2242 10.1480 66,458,776.65
15/10/2025 10.2382 10.1619 66,542,610.41
14/10/2025 10.0627 9.9877 65,406,305.27
10/10/2025 10.2192 10.1430 66,607,476.49
09/10/2025 10.2898 10.2131 67,896,965.96
08/10/2025 10.2471 10.1707 67,487,180.72
07/10/2025 10.2268 10.1506 67,359,320.79
06/10/2025 10.1440 10.0684 66,797,542.26
03/10/2025 10.2117 10.1356 70,051,092.27
02/10/2025 10.2051 10.1290 70,001,948.95
01/10/2025 10.1371 10.0615 69,501,551.00
30/09/2025 10.2185 10.1423 70,046,546.93
29/09/2025 10.3125 10.2356 70,819,875.66
26/09/2025 10.2609 10.1844 73,391,739.80
25/09/2025 10.2756 10.1990 73,486,002.46
24/09/2025 10.1644 10.0886 72,987,803.66
23/09/2025 10.1294 10.0539 72,795,013.05
22/09/2025 10.2319 10.1556 74,555,777.91
19/09/2025 10.3163 10.2394 74,941,287.89
18/09/2025 10.3026 10.2258 71,995,177.07
17/09/2025 10.3778 10.3004 73,896,455.22
16/09/2025 10.3821 10.3047 74,851,682.73
Note :
  • 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

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