บริษัทหลักทรัพย์จัดการกองทุน กรุงไทย จำกัด (มหาชน)
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Krung Thai Selective Equity RMF : KTSE-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)

04/02/2026 11.2151 11.2150 473,457,560.38
03/02/2026 11.0667 11.0666 467,878,779.97
02/02/2026 10.9324 10.9323 462,048,296.17
30/01/2026 10.9288 10.9287 462,439,350.08
29/01/2026 10.9965 10.9964 465,946,701.14
28/01/2026 11.0770 11.0769 471,026,399.33
27/01/2026 11.0092 11.0091 469,071,105.44
26/01/2026 10.7946 10.7945 460,482,408.03
23/01/2026 10.8450 10.8449 465,870,556.34
22/01/2026 10.7993 10.7992 463,822,131.75
21/01/2026 10.8696 10.8695 468,686,090.04
20/01/2026 10.7255 10.7254 462,488,497.23
19/01/2026 10.6076 10.6075 457,608,949.31
16/01/2026 10.5610 10.5609 456,582,416.85
15/01/2026 10.4344 10.4343 451,202,942.11
14/01/2026 10.3242 10.3241 447,580,794.54
13/01/2026 10.2390 10.2389 443,767,350.05
12/01/2026 10.2847 10.2846 445,633,804.82
09/01/2026 10.3758 10.3757 449,807,787.60
08/01/2026 10.3936 10.3935 450,691,847.23
07/01/2026 10.5735 10.5734 458,622,693.21
06/01/2026 10.5787 10.5786 459,924,528.73
05/01/2026 10.6170 10.6169 463,842,854.72
30/12/2025 10.4661 10.4660 457,046,495.95
29/12/2025 10.4235 10.4234 455,674,403.18
26/12/2025 10.4892 10.4891 460,763,487.74
25/12/2025 10.5290 10.5289 463,835,909.03
24/12/2025 10.5977 10.5976 466,693,170.57
23/12/2025 10.5651 10.5650 465,391,392.85
22/12/2025 10.5468 10.5467 464,493,355.66
19/12/2025 10.4533 10.4532 460,587,109.08
18/12/2025 10.4502 10.4501 460,642,810.56
17/12/2025 10.4837 10.4836 462,550,020.51
16/12/2025 10.5124 10.5123 464,067,016.80
15/12/2025 10.6105 10.6104 468,492,969.96
12/12/2025 10.4628 10.4627 461,547,803.44
11/12/2025 10.4861 10.4860 463,514,482.53
09/12/2025 10.5818 10.5817 467,761,016.56
08/12/2025 10.5014 10.5013 464,873,802.18
04/12/2025 10.5696 10.5695 467,919,214.52
03/12/2025 10.5449 10.5448 467,977,396.85
02/12/2025 10.5478 10.5477 468,855,562.50
01/12/2025 10.5317 10.5316 468,807,096.28
28/11/2025 10.3801 10.3800 461,127,215.84
27/11/2025 10.3595 10.3594 460,206,264.90
26/11/2025 10.4279 10.4278 463,903,088.39
25/11/2025 10.4739 10.4738 465,947,456.93
24/11/2025 10.3272 10.3271 459,033,630.44
21/11/2025 10.3179 10.3178 458,013,264.69
20/11/2025 10.5365 10.5364 467,667,638.97
19/11/2025 10.4620 10.4619 464,956,723.86
18/11/2025 10.4666 10.4665 465,198,315.86
17/11/2025 10.5307 10.5306 468,256,234.56
14/11/2025 10.4212 10.4211 462,929,552.65
13/11/2025 10.5648 10.5647 469,300,119.49
12/11/2025 10.5434 10.5433 469,485,852.99
11/11/2025 10.6714 10.6713 476,046,724.48
10/11/2025 10.7150 10.7149 477,976,139.38
07/11/2025 10.6853 10.6852 476,860,288.24
06/11/2025 10.7644 10.7643 481,085,804.65
05/11/2025 10.6332 10.6331 475,582,981.36
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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