บริษัทหลักทรัพย์จัดการกองทุน กรุงไทย จำกัด (มหาชน)
  • 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

Krung Thai Conservative 25/75 RMF : KT25/75RMF

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 12.6609 12.6608 1,308,205,221.05
12/12/2025 12.6164 12.6163 1,303,638,234.55
11/12/2025 12.6213 12.6212 1,303,363,693.23
09/12/2025 12.6514 12.6513 1,306,728,094.82
08/12/2025 12.6386 12.6385 1,306,861,873.24
04/12/2025 12.6616 12.6615 1,308,834,520.66
03/12/2025 12.6589 12.6588 1,307,160,550.64
02/12/2025 12.6531 12.6530 1,306,261,983.36
01/12/2025 12.6415 12.6414 1,304,267,399.71
28/11/2025 12.5972 12.5971 1,299,183,766.65
27/11/2025 12.5951 12.5950 1,298,769,073.68
26/11/2025 12.6124 12.6123 1,303,533,861.47
25/11/2025 12.6377 12.6376 1,306,003,319.64
24/11/2025 12.5927 12.5926 1,300,761,355.65
21/11/2025 12.5751 12.5750 1,298,365,551.11
20/11/2025 12.6351 12.6350 1,304,270,790.57
19/11/2025 12.6167 12.6166 1,301,911,472.03
18/11/2025 12.6192 12.6191 1,301,208,261.88
17/11/2025 12.6260 12.6259 1,302,030,963.07
14/11/2025 12.5849 12.5848 1,298,162,387.63
13/11/2025 12.6280 12.6279 1,302,773,104.84
12/11/2025 12.6140 12.6139 1,301,390,897.02
11/11/2025 12.6444 12.6443 1,304,387,824.86
10/11/2025 12.6661 12.6660 1,307,086,468.27
07/11/2025 12.6618 12.6617 1,306,585,386.98
06/11/2025 12.6821 12.6820 1,308,364,821.98
05/11/2025 12.6524 12.6523 1,307,480,043.78
04/11/2025 12.6560 12.6559 1,309,522,169.84
03/11/2025 12.6821 12.6820 1,311,568,152.06
31/10/2025 12.6853 12.6852 1,309,966,848.46
30/10/2025 12.7092 12.7091 1,312,085,154.58
29/10/2025 12.7212 12.7211 1,314,705,581.91
28/10/2025 12.7220 12.7219 1,316,347,613.22
27/10/2025 12.7395 12.7394 1,317,090,182.73
24/10/2025 12.7307 12.7306 1,316,224,987.53
22/10/2025 12.7024 12.7023 1,313,803,499.45
21/10/2025 12.6588 12.6587 1,309,233,608.13
20/10/2025 12.6595 12.6594 1,309,656,547.17
17/10/2025 12.6421 12.6420 1,309,477,039.33
16/10/2025 12.6834 12.6833 1,314,420,713.71
15/10/2025 12.6859 12.6858 1,314,818,422.76
14/10/2025 12.6381 12.6380 1,310,110,703.07
10/10/2025 12.6869 12.6868 1,314,934,521.66
09/10/2025 12.7524 12.7523 1,321,720,932.81
08/10/2025 12.7491 12.7490 1,321,927,658.52
07/10/2025 12.7583 12.7582 1,322,738,709.07
06/10/2025 12.7118 12.7117 1,318,531,321.30
03/10/2025 12.7335 12.7334 1,321,710,726.13
02/10/2025 12.7169 12.7168 1,319,943,854.57
01/10/2025 12.6805 12.6804 1,315,824,692.82
30/09/2025 12.6765 12.6764 1,316,245,356.71
29/09/2025 12.6958 12.6957 1,318,345,701.41
26/09/2025 12.6691 12.6690 1,315,964,924.97
25/09/2025 12.7065 12.7064 1,320,046,357.78
24/09/2025 12.6945 12.6944 1,318,856,875.28
23/09/2025 12.6835 12.6834 1,318,362,126.42
22/09/2025 12.7147 12.7146 1,320,890,646.44
19/09/2025 12.7353 12.7352 1,322,959,054.77
18/09/2025 12.7385 12.7384 1,323,392,470.98
17/09/2025 12.7559 12.7558 1,325,953,422.20
16/09/2025 12.7402 12.7401 1,324,484,125.79
Remark :
  • Past performance of the fund may not be indicative of future operation.

Shortcut Menu

  • Home
  • About KTAM
  • Mutual Funds
  • Provident Funds
  • Private Funds
  • Property/REIT
  • RMF/LTF/SSF/ThaiESG
  • FIF / ETF
  • Top Performance Fund
  • Dividend
  • News/Research
  • Asset Allocation Strategy
  • Documents and Forms
  • Promotions
  • Calendar
  • Activities
  • Procurement
  • AIMC Category
    Performance Report
  • FAQs
  • Investment Knowledge
  • Notice Regarding Data Privacy and Use of Cookies
  • Manage Cookie Preference
  • E-newsletter
  • Contact Us
  • Career
  • Privacy Notice
Go To Top
Stay Connect with us:
  • Facebook
  • Twitter
  • Youtube

Copyright © 2016 Krungthai Asset Management Public Company Limited

Tel: 0-2686-6100 FAX: 0-2670-0430 Toll Free Number:1-800-295-592

Email: [email protected]

Tax ID 0-1075-45000-37-3 : Head Office

  • Affiliates
  • Related Links
  • Sitemap

USE AND MANAGEMENT OF COOKIES

Our website use cookie to enhance user experience. You may adjust your cookie preference and learn more about the cookie we use by visiting Notice Regarding Data Privacy and Use of Cookies and Manage Cookie Preference

 MANAGE COOKIE PREFERENCE

When you use our website, we use necessary cookies to ensure that our website will work properly. We also use other types of cookie to correct information about how you interact with our website and use the information to enhance the user experience. However, you can adjust your cookie preference at any time, and we will not use the cookies that you had disabled.

To learn more about the cookie we use, visit us at Notice Regarding Data Privacy and Use of Cookies


Manage Cookie Preference

Necessary cookies

Necessary cookies enable core functionalities such as security, network management, and accessibility.

Analytics cookies

Google Analytics helps us to improve our website by collecting and reporting your usage information on the website. These cookies collect information in a way that does not identify anyone directly.