บริษัทหลักทรัพย์จัดการกองทุน กรุงไทย จำกัด (มหาชน)
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Krungthai Dividend Equity Thailand ESG Extra Fund (Class D) : KTEQDIVX-D

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)

04/02/2026 11.3080 11.3079 124,951,689.02
03/02/2026 11.2278 11.2277 124,044,219.73
02/02/2026 11.2104 11.2103 123,756,748.29
30/01/2026 11.2701 11.2700 124,416,425.65
29/01/2026 11.2615 11.2614 124,197,039.00
28/01/2026 11.3533 11.3532 125,392,601.78
27/01/2026 11.3038 11.3037 125,194,339.15
26/01/2026 11.1522 11.1521 123,514,866.48
23/01/2026 11.1713 11.1712 123,710,331.70
22/01/2026 11.2133 11.2132 124,340,285.58
21/01/2026 11.2091 11.2090 124,294,260.75
20/01/2026 11.2855 11.2854 125,140,798.00
19/01/2026 11.2182 11.2181 124,394,335.73
16/01/2026 11.2160 11.2159 124,370,240.66
15/01/2026 11.1078 11.1077 123,117,508.56
14/01/2026 11.0557 11.0556 122,540,131.08
13/01/2026 11.0004 11.0003 121,927,350.80
12/01/2026 11.0429 11.0428 122,397,881.14
09/01/2026 11.0828 11.0827 122,840,641.39
08/01/2026 11.0955 11.0954 122,981,210.24
07/01/2026 11.0333 11.0332 122,291,407.81
06/01/2026 11.1491 11.1490 123,575,160.78
05/01/2026 11.1480 11.1479 123,232,200.41
30/12/2025 11.0546 11.0545 122,199,324.82
29/12/2025 10.9874 10.9873 121,457,067.69
26/12/2025 11.0332 11.0331 121,962,517.17
25/12/2025 11.0285 11.0284 121,860,439.57
24/12/2025 11.0331 11.0330 121,917,058.68
23/12/2025 11.0096 11.0095 121,657,148.09
22/12/2025 10.9747 10.9746 121,271,776.39
19/12/2025 10.9756 10.9755 121,281,801.73
18/12/2025 11.0659 11.0658 122,279,369.32
17/12/2025 10.8774 10.8773 120,184,642.80
16/12/2025 10.8860 10.8859 120,620,497.53
15/12/2025 10.9102 10.9101 120,888,628.14
12/12/2025 10.8431 10.8430 119,805,721.22
11/12/2025 10.7972 10.7971 119,298,264.36
09/12/2025 10.8141 10.8140 119,825,858.83
08/12/2025 10.8369 10.8368 120,078,924.87
04/12/2025 10.9039 10.9038 120,821,251.47
03/12/2025 10.8996 10.8995 120,774,234.26
02/12/2025 10.8310 10.8309 119,703,842.30
01/12/2025 10.7730 10.7729 119,062,950.84
28/11/2025 10.6637 10.6636 117,517,821.33
27/11/2025 10.6535 10.6534 117,406,158.12
26/11/2025 10.7140 10.7139 118,072,331.45
25/11/2025 10.6689 10.6688 117,576,036.79
24/11/2025 10.6086 10.6085 116,910,862.97
21/11/2025 10.6103 10.6102 117,268,571.09
20/11/2025 10.6598 10.6597 117,815,014.54
19/11/2025 10.5895 10.5894 117,038,775.50
18/11/2025 10.5636 10.5635 116,751,662.52
17/11/2025 10.5992 10.5991 117,145,274.87
14/11/2025 10.4736 10.4735 115,758,189.99
13/11/2025 10.5142 10.5141 116,207,013.22
12/11/2025 10.5677 10.5676 116,853,041.23
11/11/2025 10.6307 10.6306 117,549,573.22
10/11/2025 10.6243 10.6242 117,480,300.08
07/11/2025 10.5626 10.5625 116,797,622.62
06/11/2025 10.6804 10.6803 118,101,807.66
05/11/2025 10.5897 10.5896 117,127,269.51
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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