บริษัทหลักทรัพย์จัดการกองทุน กรุงไทย จำกัด (มหาชน)
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Krung Thai Property and Infrastructure Flexible RMF : KT-PIF RMF

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 10.8865 10.8864 244,896,649.13
12/12/2025 10.8800 10.8799 244,690,292.09
11/12/2025 10.8737 10.8736 245,163,309.53
09/12/2025 10.8376 10.8375 244,544,020.54
08/12/2025 10.8548 10.8547 245,144,976.74
04/12/2025 10.9060 10.9059 246,388,638.05
03/12/2025 10.9358 10.9357 247,336,544.91
02/12/2025 10.9384 10.9383 247,550,934.34
01/12/2025 10.9118 10.9117 246,883,358.54
28/11/2025 10.9953 10.9952 248,719,052.35
27/11/2025 10.9623 10.9622 247,985,020.77
26/11/2025 10.9386 10.9385 247,465,600.74
25/11/2025 10.9689 10.9688 248,004,644.64
24/11/2025 10.9313 10.9312 247,137,175.36
21/11/2025 10.8595 10.8594 245,827,067.91
20/11/2025 10.8810 10.8809 246,255,360.02
19/11/2025 10.8702 10.8701 246,092,616.36
18/11/2025 10.8391 10.8390 245,391,347.37
17/11/2025 10.8885 10.8884 246,565,864.50
14/11/2025 10.8214 10.8213 245,641,598.14
13/11/2025 10.9106 10.9105 247,796,863.16
12/11/2025 10.9698 10.9697 249,124,385.53
11/11/2025 10.9889 10.9888 249,547,315.56
10/11/2025 10.9362 10.9361 248,317,945.24
07/11/2025 10.8834 10.8833 247,128,457.88
06/11/2025 10.8555 10.8554 246,524,485.26
05/11/2025 10.8339 10.8338 246,100,810.81
04/11/2025 10.8022 10.8021 246,408,392.23
03/11/2025 10.8563 10.8562 247,736,918.69
31/10/2025 10.8720 10.8719 248,090,962.60
30/10/2025 10.8809 10.8808 248,256,751.89
29/10/2025 10.9553 10.9552 250,239,724.16
28/10/2025 10.9575 10.9574 250,311,476.38
27/10/2025 10.9389 10.9388 249,840,137.03
24/10/2025 10.9138 10.9137 250,116,934.87
22/10/2025 10.9399 10.9398 251,083,075.75
21/10/2025 10.9451 10.9450 251,616,431.79
20/10/2025 10.8349 10.8348 249,173,230.12
17/10/2025 10.8546 10.8545 249,270,773.96
16/10/2025 10.8677 10.8676 249,950,388.43
15/10/2025 10.8075 10.8074 248,214,747.92
14/10/2025 10.7888 10.7887 248,331,475.65
10/10/2025 10.8280 10.8279 249,479,887.55
09/10/2025 10.8485 10.8484 250,217,477.61
08/10/2025 10.8477 10.8476 250,577,302.42
07/10/2025 10.8302 10.8301 249,311,855.61
06/10/2025 10.8352 10.8351 249,652,261.33
03/10/2025 10.8362 10.8361 251,866,543.08
02/10/2025 10.8356 10.8355 251,961,133.02
01/10/2025 10.7907 10.7906 250,973,216.46
30/09/2025 10.7721 10.7720 250,642,025.98
29/09/2025 10.7453 10.7452 250,289,996.77
26/09/2025 10.6578 10.6577 248,242,647.68
25/09/2025 10.6669 10.6668 247,089,304.80
24/09/2025 10.7083 10.7082 248,061,083.32
23/09/2025 10.6467 10.6466 246,725,697.13
22/09/2025 10.5588 10.5587 244,631,639.66
19/09/2025 10.7007 10.7006 247,917,365.08
18/09/2025 10.7392 10.7391 247,840,967.72
17/09/2025 10.8281 10.8280 249,778,570.82
16/09/2025 10.8280 10.8279 249,825,786.57
Remark :
  • 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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