Menu Guide
NAV
Fund Search
Highlighted Funds
Top Performance Fund
Dividend
Fund Holidays
News/Research
Asset Allocation Strategy
Documents and Forms
Promotions
Fund Information
Compare Funds
KTAM Daily News
KTAM Edutainment
KTAM Smart Trade
PVD Online
Agent
TH
:
EN
HOME
ABOUT KTAM
MUTUAL FUNDS
RMF/LTF/SSF/ThaiESG
FIF / ETF
PROVIDENT FUNDS
PRIVATE FUNDS
INFRASTRUCTURE / REIT / PROPERTY FUNDS
Khonburi Sugar Power Plant Infrastructure Fund : KBSPIF
NAV
Print Out
3 months
6 months
1 year
3 year
5 year
10 year
ข้อมูล ณ วันที่
มูลค่าหน่วยลงทุน
เปลี่ยนแปลง
ราคาขาย
ราคารับซื้อคืน
มูลค่าทรัพย์สินสุทธิ
(หน่วย:บาท)
30/11/2025
10.5942
2,966,382,061.21
31/10/2025
10.7979
3,023,412,994.86
30/09/2025
10.7305
3,004,565,422.16
31/08/2025
10.7087
2,998,444,049.84
31/07/2025
10.8791
3,046,174,416.78
30/06/2025
10.8255
3,031,153,267.91
31/05/2025
10.5182
2,945,118,429.51
30/04/2025
10.7081
2,998,286,936.30
31/03/2025
10.6532
2,982,921,141.47
28/02/2025
10.0784
2,821,964,194.64
31/01/2025
10.1511
2,842,307,491.70
31/12/2024
10.0990
2,827,725,894.27
30/11/2024
10.1344
2,837,654,236.97
Items Per Page:
10
20
30
Note :
Past performance of the fund may not be indicative of future operation.