Symbol Fund Currency Date NAV Change Offer Bid Total Net Asset
ABFTH The ABF Thailand Bond Index Fund THB 24/03/2025 1,348.4880 -0.9207
0.0682 %
N/A N/A 11,723,144,393.18
K-2035RMF K Target Retirement 2035 RMF THB 21/03/2025 10.8974 -0.0152
0.1393 %
10.8975 10.8974 940,743,325.05
K-2040RMF K Target Retirement 2040 RMF THB 21/03/2025 10.8610 -0.0153
0.1407 %
10.8611 10.8610 608,439,886.35
K20SLTF-A(D) K 20 Select LTF-A(D) THB 24/03/2025 11.1570 +0.0367
0.3300 %
11.2687 11.1570 7,659,566.64
K20SLTF-C(L) K 20 Select LTF-C(L) THB 24/03/2025 11.2555 +0.0371
0.3307 %
11.2556 11.2555 6,577,548,183.37
K-2500 K Lifestyle Fund 2500 THB 24/03/2025 15.9150 +0.0010
0.0063 %
15.9151 15.8752 174,285,709.08
K-2510 K Lifestyle Fund 2510 THB 24/03/2025 17.5042 +0.0025
0.0143 %
17.5043 17.4604 113,477,934.57
K-2520 K Lifestyle Fund 2520 THB 24/03/2025 20.0726 +0.0109
0.0543 %
20.0727 20.0224 200,599,776.57
K-2530 K Lifestyle Fund 2530 THB 24/03/2025 21.9293 +0.0129
0.0589 %
21.9294 21.8745 402,067,373.44
K70LTF-A(D) K Equity 70:30 LTF-A(D) THB 24/03/2025 12.4372 +0.0309
0.2491 %
12.5617 12.4372 7,308,463.43
K70LTF-C(L) K Equity 70:30 LTF-C(L) THB 24/03/2025 11.6091 +0.0289
0.2496 %
11.6092 11.6091 9,595,737,154.69
K-AB22A K Fixed Income AB 2022A Fund THB 24/03/2025 10.0108 -0.0015
0.0150 %
N/A 10.0108 796,582,757.86
K-AB22B K Fixed Income AB 2022B Fund THB 24/03/2025 9.8179 -0.0012
0.0122 %
N/A 9.8179 324,007,424.53
KACB KA Corporate Bond Fund THB 24/03/2025 18.4679 +0.0020
0.0108 %
18.6065 18.4679 2,509,650,021.96
K-AEC K ASEAN Economic Community Equity Fund THB 24/03/2025 10.4792 +0.0171
0.1634 %
10.6365 10.4792 91,324,073.53
KAEQ KA Equity Fund THB 24/03/2025 99.6234 +0.2156
0.2169 %
102.6122 96.6347 1,845,714,660.27
K-AGRI K Agriculture Fund THB 21/03/2025 6.3309 -0.0352
0.5529 %
6.3405 6.3214 65,373,353.70
K-AHY K Asia High Yield Bond Fund THB 20/03/2025 9.8518 +0.0145
0.1474 %
9.9012 9.8518 1,701,284,849.96
K-AHYA-UI K Asia High Yield A Fund Not for Retail Investors THB 20/03/2025 8.5970 +0.0126
0.1468 %
N/A 8.5970 1,154,060,730.83
K-AHYB-UI K Asia High Yield B Fund Not for Retail Investors THB 20/03/2025 9.7584 +0.0153
0.1570 %
N/A 9.7584 1,254,765,148.38
K-AHYC-UI K Asia High Yield C Fund Not for Retail Investors THB 20/03/2025 9.0360 +0.0144
0.1596 %
N/A 9.0360 1,066,994,360.52
K-AHYD-UI K Asia High Yield D Fund Not for Retail Investors THB 20/03/2025 10.8794 +0.0163
0.1500 %
N/A 10.8794 600,418,977.42
K-ALLBASIC K All Roads Basic Fund THB 20/03/2025 11.1824 +0.0034
0.0304 %
11.2384 11.1824 1,358,383,723.49
K-ALLEN-UI-A(A) K All Roads Enhanced Fund Not for Retail Investors-A(A) THB 20/03/2025 10.2233 -0.0019
0.0186 %
10.3768 10.2233 10,575,056,854.25
K-ALLEN-UI-C(A) K All Roads Enhanced Fund Not for Retail Investors-C(A) THB 20/03/2025 10.2237 -0.0019
0.0186 %
10.2238 10.2237 673,204,057.84
K-ALLGR-UI-A(A) K All Roads Growth Fund Not for Retail Investors-A(A) THB 20/03/2025 10.5310 +0.0025
0.0237 %
10.6364 10.5310 8,424,814,538.39
K-ALLGR-UI-C(A) K All Roads Growth Fund Not for Retail Investors-C(A) THB 20/03/2025 10.5319 +0.0026
0.0247 %
10.5320 10.5319 114,614,647.34
K-ALLRD-UI-A(A) K All Roads Fund Not for Retail Investors-A(A) THB 20/03/2025 9.9122 +0.0034
0.0343 %
9.9619 9.9122 1,242,198,706.53
K-ALPHA-AGG-UI K Alpha-Aggressive Fund Not for Retail Investors THB 19/03/2025 10.3696 +0.0357
0.3455 %
10.5771 10.2659 315,489,820.99
K-ALPHA-MOD-UI K Alpha-Moderate Fund Not for Retail Investors THB 19/03/2025 10.3881 +0.0299
0.2887 %
10.5181 10.2842 533,390,253.64
K-APB-A(A) K Asia Pacific Bond Fund-A(A)
recommend
THB 20/03/2025 9.8277 +0.0205
0.2090 %
9.8769 9.8277 3,520,449,962.58
K-APB-C(A) K Asia Pacific Bond Fund-C(A) THB 20/03/2025 9.8312 +0.0206
0.2100 %
9.8313 9.8312 29,381,767.77
KASF KA Short Term Fixed-Income Fund THB 24/03/2025 16.6986 +0.0028
0.0168 %
16.8239 16.6986 725,340,141.42
K-ASIA K Asian Smaller Companies Equity Fund THB 21/03/2025 10.0871 +0.1162
1.1654 %
10.2385 10.0871 696,496,502.20
K-ASIACV-A(A) K Asia Controlled Volatility Fund-A(A) THB 20/03/2025 6.2120 -0.0674
1.0734 %
6.3053 6.2120 1,409,712,630.83
K-ASIAX K Asia Equity Passive Fund THB 24/03/2025 7.8554 +0.0277
0.3539 %
7.8634 7.8436 347,323,829.50
K-ATECH K Asia Technology Equity Fund THB 21/03/2025 6.0116 -0.0852
1.3975 %
6.1019 6.0116 1,958,856,800.01
K-BANKING K Banking Sector Index Fund THB 24/03/2025 13.1064 -0.0398
0.3027 %
13.1196 13.0933 304,969,073.06
K-BL30-ThaiESG K ESG Balanced 30 Fund-ThaiESG THB 24/03/2025 9.7780 -0.0024
0.0245 %
9.7781 9.7780 376,595,370.62
K-BLRMF K Balanced RMF THB 24/03/2025 26.8740 +0.0209
0.0778 %
26.8741 26.8740 6,288,627,596.44
K-CASH K Cash Management Fund THB 24/03/2025 13.7908 +0.0016
0.0116 %
13.7909 13.7908 54,932,727,726.27
K-CBOND-A K Corporate Bond Fund-A THB 24/03/2025 19.3663 +0.0011
0.0057 %
19.3664 19.3663 6,028,805,287.75
K-CBOND-Z K Corporate Bond Fund-Z THB 24/03/2025 19.6229 +0.0019
0.0097 %
19.6230 19.6229 781,802,195.80
K-CCTV-A(A) K China Controlled Volatility Fund-A(A) THB 21/03/2025 8.7575 -0.1036
1.1692 %
8.8890 8.7575 4,192,309,800.87
K-CHANGE-A(A) K Positive Change Equity Fund-A(A) THB 21/03/2025 17.1735 -0.1380
0.7972 %
17.4312 17.1735 6,492,909,667.83
K-CHANGE-C(A) K Positive Change Equity Fund-C(A) THB 21/03/2025 17.3649 -0.1395
0.7969 %
17.3650 17.3649 5,697,921.28
K-CHANGERMF K Positive Change Equity RMF THB 21/03/2025 9.1387 -0.0733
0.7957 %
9.1388 9.1387 3,574,623,388.93
K-CHANGE-SSF K Positive Change Equity Fund-SSF THB 21/03/2025 17.1535 -0.1378
0.7969 %
17.1536 17.1535 4,430,069,999.46
K-CHAPE23A-UI K China Private Equity 23A Fund Not for Retail Investors THB 02/01/2025 10.5983 +0.0451
0.4274 %
N/A 10.5983 772,479,047.39
K-CHAPE24B-UI K China Private Equity 24B Fund Not for Retail Investors THB 30/12/2024 10.2200 0.0000
0.0000 %
N/A N/A 391,769,229.88
K-CHINA-A(A) K China Equity Fund-A(A) THB 24/03/2025 5.4552 +0.0621
1.1515 %
5.5371 5.4552 4,291,530,251.44
K-CHINA-A(D) K China Equity Fund-A(D) THB 24/03/2025 5.3935 +0.0615
1.1534 %
5.4745 5.3935 12,858,547,336.15
K-CHINARMF K China Equity RMF THB 21/03/2025 5.3966 -0.1219
2.2089 %
5.3967 5.3966 4,921,511,857.66
K-CHINA-SSF K China Equity Fund-SSF THB 24/03/2025 5.4731 +0.0624
1.1533 %
5.4732 5.4731 1,666,870,429.86
K-CHX K Chinese Equity Index Fund THB 24/03/2025 11.5688 +0.0889
0.7744 %
11.5805 11.5514 2,099,305,415.80
KCR1YJ-BR K Complex Return 1 Year J Fund Not for Retail Investors THB 08/11/2024 10.0241 -0.0003
0.0030 %
N/A 10.0241 532,615,654.61
K-DFIXED K Dynamic Fixed Income Fund THB 24/03/2025 10.6888 -0.0014
0.0131 %
10.6889 10.6888 278,559,085.33
KDLTF-A(D) K Equity Dividend LTF-A(D) THB 24/03/2025 13.1368 +0.0465
0.3552 %
13.2683 13.1368 8,209,392.87
KDLTF-C(L) K Equity Dividend LTF-C(L) THB 24/03/2025 12.4519 +0.0440
0.3546 %
12.4520 12.4519 8,319,013,374.59
K-ENERGY K Energy Sector Index Fund THB 24/03/2025 11.1376 +0.0697
0.6297 %
11.1488 11.1265 173,888,774.73
KEQLTF-A(A) K Equity LTF-A(A) THB 24/03/2025 25.4386 +0.0898
0.3543 %
25.6931 25.4386 1,449,245.23
KEQLTF-C(L) K Equity LTF-C(L) THB 24/03/2025 25.5302 +0.0905
0.3557 %
25.5303 25.5302 5,235,787,855.05
K-EQUITY K Equity Fund THB 24/03/2025 11.8951 +0.0406
0.3425 %
12.0142 11.8951 2,062,564,087.67
K-ESGSI-ThaiESG K ESG Sovereign Instruments Fund-ThaiESG
recommend
THB 24/03/2025 10.8372 -0.0148
0.1364 %
10.8373 10.8372 5,067,026,988.14
K-EURMF K European Equity RMF THB 21/03/2025 18.6900 -0.2396
1.2657 %
18.6901 18.6900 1,052,548,578.60
K-EUROPE-A(D) K European Equity Fund-A(D) THB 21/03/2025 11.4729 -0.1460
1.2566 %
11.6451 11.4729 2,642,772,199.73
K-EUSAGE K European Silver Age Equity Fund THB 20/03/2025 10.3054 -0.0419
0.4049 %
10.4601 10.3054 115,580,771.91
K-EUSMALL K European Small Cap Equity Fund THB 21/03/2025 15.2040 -0.0189
0.1242 %
15.4322 15.2040 745,783,430.20
K-EUX K European Equity Index Fund THB 24/03/2025 20.7362 -0.0139
0.0670 %
20.7570 20.7051 1,150,278,286.76
K-FEQ K Flexible Equity Fund THB 24/03/2025 62.9133 +0.1091
0.1737 %
62.9134 62.2842 1,105,954,618.54
KFF6MCV-BR K Foreign Fixed Income 6MCV Fund Not for Retail Investors THB 22/10/2024 10.1074 +0.0096
0.0951 %
N/A 10.1074 4,458,859,661.57
KFF6MCW-BR K Foreign Fixed Income 6MCW Fund Not for Retail Investors THB 21/11/2024 10.1055 +0.0474
0.4713 %
N/A 10.1055 2,700,818,525.76
KFF6MCX-BR K Foreign Fixed Income 6MCX Fund Not for Retail Investors THB 15/01/2025 10.1079 -0.1576
1.5352 %
N/A 10.1079 2,715,025,185.83
KFF6MCY-BR K Foreign Fixed Income 6MCY Fund Not for Retail Investors THB 27/02/2025 10.1216 -0.0644
0.6322 %
N/A 10.1216 2,252,920,232.25
KFF6MCZ-BR K Foreign Fixed Income 6MCZ Fund Not for Retail Investors THB 28/02/2025 10.0960 +0.0409
0.4068 %
N/A N/A 3,050,529,784.83
KFF6MDB-BR K Foreign Fixed Income 6MDB Fund Not for Retail Investors THB 28/02/2025 10.0716 +0.0669
0.6687 %
N/A N/A 3,247,842,584.26
K-FF6MDC-BR K Foreign Fixed Income 6MDC Fund Not for Retail Investors THB 28/02/2025 10.0479 0.0000
0.0000 %
N/A N/A 3,167,221,476.40
KFGB6MA(USD) K Foreign Government Bond 6MA USD Fund USD 16/01/2025 10.2434 -0.0001
0.0010 %
N/A 10.2434 51,036,025.38
KFGB6MC(USD) K Foreign Government Bond 6MC USD Fund USD 06/03/2025 10.2236 +0.0000
0.0000 %
N/A 10.2236 15,348,369.07
KFGB6MD(USD) K Foreign Government Bond 6MD USD Fund USD 28/02/2025 10.1266 +0.0302
0.2991 %
N/A N/A 34,820,663.20
KFGB6ME(USD) K Foreign Government Bond 6ME USD Fund USD 28/02/2025 9.9926 +0.1037
1.0487 %
N/A N/A 55,275,270.99
KFGB6MF(USD) K Foreign Government Bond 6MF USD Fund USD 28/02/2025 9.8968 +0.1042
1.0641 %
N/A N/A 33,537,920.21
K-FGB6MG(USD) K Foreign Government Bond 6MG USD Fund USD 28/02/2025 10.1249 +0.1097
1.0953 %
N/A N/A 56,367,339.45
K-FGB6MH(USD) K Foreign Government Bond 6MH USD Fund USD 28/02/2025 9.9363 0.0000
0.0000 %
N/A N/A 65,206,559.70
K-FI22G K Fixed Income 2022G Fund THB 24/03/2025 10.1058 -0.0014
0.0139 %
N/A 10.1058 478,863,001.64
K-FI22H K Fixed Income 2022H Fund THB 24/03/2025 10.0981 -0.0010
0.0099 %
N/A 10.0981 217,558,865.73
K-FI22I K Fixed Income 2022I Fund THB 24/03/2025 10.2433 -0.0014
0.0137 %
N/A 10.2433 472,619,316.31
K-FI22J K Fixed Income 2022J Fund THB 24/03/2025 10.2359 -0.0015
0.0147 %
N/A 10.2359 287,744,332.04
KFI2YA-BR K Fixed Income 2 Years A Fund Not for Retail Investors THB 21/01/2025 10.5117 -0.0001
0.0010 %
N/A 10.5117 3,585,620,712.68
KFI3YB-BR K Fixed Income 3 Years B Fund Not for Retail Investors THB 28/02/2025 10.7396 +0.0365
0.3410 %
N/A N/A 3,818,656,457.35
K-FIRMF K Fixed Income RMF
recommend
THB 24/03/2025 17.0044 -0.0042
0.0247 %
17.0045 17.0044 14,462,494,759.02
K-FITL K FIT Allocation L Fund THB 21/03/2025 10.6114 -0.0468
0.4391 %
10.6646 10.5583 219,010,149.13
K-FITM K FIT Allocation M Fund THB 21/03/2025 11.4476 -0.0343
0.2987 %
11.5049 11.3904 132,104,012.18
K-FITS K FIT Allocation S Fund THB 21/03/2025 11.1785 -0.0078
0.0697 %
11.2345 11.1226 28,066,726.40
K-FITXL K FIT Allocation XL Fund THB 21/03/2025 10.9548 -0.0552
0.5014 %
11.0097 10.9000 290,159,611.50
K-FIXED-A K Fixed Income Fund-A
recommend
THB 24/03/2025 13.7887 -0.0053
0.0384 %
13.7888 13.7887 96,747,030,318.75
K-FIXEDPLUS-A K Fixed Income Plus Fund-A
recommend
THB 24/03/2025 11.4392 -0.0072
0.0629 %
11.4393 11.4392 29,505,928,966.49
K-FIXEDPLUS-SSF K Fixed Income Plus Fund-SSF THB 24/03/2025 11.4315 -0.0072
0.0629 %
11.4316 11.4315 2,275,504,946.33
K-FIXEDPRO K Fixed Income Proactive Fund THB 21/03/2025 10.1815 +0.0025
0.0246 %
10.1816 10.1815 855,248,036.32
K-FIXED-Z K Fixed Income Fund-Z THB 24/03/2025 13.9702 -0.0049
0.0351 %
13.9703 13.9702 2,904,241,532.68
K-FLRMF K Flexible Equity RMF THB 24/03/2025 67.9800 +0.1545
0.2278 %
67.9801 67.9800 9,951,108,220.28
K-GA-A(A) K Global Allocation Fund-A(A) THB 21/03/2025 12.2006 -0.0916
0.7452 %
12.3837 12.2006 742,372,351.79
K-GA-A(D) K Global Allocation Fund-A(D) THB 21/03/2025 11.0477 -0.0829
0.7448 %
11.2135 11.0477 9,033,427,732.30
K-GARMF K Global Allocation RMF THB 21/03/2025 16.0324 -0.1193
0.7386 %
16.0325 16.0324 2,543,495,855.82
KGB11MC K Government Bond 11 Months C Fund THB 28/02/2025 10.1790 +0.0106
0.1042 %
N/A N/A 6,847,252,585.15
KGB11MD K Government Bond 11 Months D Fund THB 28/02/2025 10.1752 +0.0107
0.1053 %
N/A N/A 3,904,091,461.30
KGB1YAA K Government Bond 1 Year AA Fund THB 28/02/2025 10.0424 +0.0247
0.2466 %
N/A N/A 2,870,337,716.39
K-GB1YAB K Government Bond 1 Year AB Fund THB 28/02/2025 10.0154 +0.0232
0.2322 %
N/A N/A 4,568,765,062.77
K-GB1YAC K Government Bond 1 Year AC Fund THB 28/02/2025 10.0188 0.0000
0.0000 %
N/A N/A 2,522,725,933.73
KGB1YL K Government Bond 1 Year L Fund THB 07/11/2024 10.2134 -0.0001
0.0010 %
N/A 10.2134 4,907,308,427.41
KGB1YM K Government Bond 1 Year M Fund THB 07/11/2024 10.2081 -0.0001
0.0010 %
N/A 10.2081 3,216,960,124.73
KGB1YN K Government Bond 1 Year N Fund THB 12/12/2024 10.2037 -0.0002
0.0020 %
N/A 10.2037 6,015,157,680.22
KGB1YO K Government Bond 1 Year O Fund THB 28/02/2025 10.1524 +0.0188
0.1855 %
N/A N/A 4,371,850,787.50
KGB1YP K Government Bond 1 Year P Fund THB 02/01/2025 10.2044 +0.0008
0.0078 %
N/A 10.2044 493,961,422.38
KGB1YQ K Government Bond 1 Year Q Fund THB 02/01/2025 10.2032 +0.0009
0.0088 %
N/A 10.2032 7,268,427,895.87
KGB1YR K Government Bond 1 Year R Fund THB 06/02/2025 10.2011 -0.0003
0.0029 %
N/A 10.2011 6,657,923,531.07
KGB1YS K Government Bond 1Year S Fund THB 06/03/2025 10.1940 -0.0001
0.0010 %
N/A 10.1940 6,171,233,167.14
KGB1YT K Government Bond 1Year T Fund THB 28/02/2025 10.1903 +0.0109
0.1071 %
N/A N/A 4,996,807,155.39
KGB1YU K Government Bond 1 Year U Fund THB 28/02/2025 10.1641 +0.0148
0.1458 %
N/A N/A 3,526,860,286.78
KGB1YV K Government Bond 1 Year V Fund THB 28/02/2025 10.1431 +0.0183
0.1807 %
N/A N/A 5,117,038,452.39
KGB1YW K Government Bond 1 Year W Fund THB 28/02/2025 10.1031 +0.0217
0.2152 %
N/A N/A 4,275,479,806.34
KGB1YX K Government Bond 1 Year X Fund THB 28/02/2025 10.1236 +0.0204
0.2019 %
N/A N/A 3,107,183,546.66
KGB1YY K Government Bond 1 Year Y Fund THB 28/02/2025 10.0932 +0.0223
0.2214 %
N/A N/A 4,075,512,621.30
KGB1YZ K Government Bond 1 Year Z Fund THB 28/02/2025 10.0686 +0.0228
0.2270 %
N/A N/A 4,532,418,525.22
KGB6MBA K Government Bond 6 Months BA Fund THB 06/11/2024 10.0972 +0.0000
0.0000 %
N/A 10.0972 7,700,131,581.59
KGB6MBB K Government Bond 6 Months BB Fund THB 20/11/2024 10.0969 -0.0001
0.0010 %
N/A 10.0969 7,809,712,521.81
KGB6MBC K Government Bond 6 Months BC Fund THB 04/12/2024 10.0982 -0.0001
0.0010 %
N/A 10.0982 9,664,513,811.07
KGB6MBD K Government Bond 6 Months BD Fund THB 12/12/2024 10.1003 -0.0001
0.0010 %
N/A 10.1003 2,851,232,738.20
KGB6MBE K Government Bond 6 Months BE Fund THB 18/12/2024 10.0998 -0.0002
0.0020 %
N/A 10.0998 7,369,835,219.91
KGB6MBF K Government Bond 6 Months BF Fund THB 02/01/2025 10.1002 +0.0010
0.0099 %
N/A 10.1002 7,825,802,224.08
KGB6MBG K Government Bond 6 Months BG Fund THB 15/01/2025 10.1002 -0.0001
0.0010 %
N/A 10.1002 7,381,459,533.66
KGB6MBH K Government Bond 6 Months BH Fund THB 29/01/2025 10.1003 -0.0001
0.0010 %
N/A 10.1003 8,013,257,513.25
KGB6MBI K Government Bond 6 Months BI Fund THB 13/02/2025 10.0981 +0.0004
0.0040 %
N/A 10.0981 7,484,006,225.94
KGB6MBJ K Government Bond 6 Months BJ Fund THB 26/02/2025 10.0976 -0.0001
0.0010 %
N/A 10.0976 7,417,418,491.17
KGB6MBK K Government Bond 6 Months BK Fund THB 12/03/2025 10.0976 -0.0001
0.0010 %
N/A 10.0976 8,470,722,775.43
KGB6MBL K Government Bond 6 Months BL Fund THB 28/02/2025 10.0849 +0.0116
0.1152 %
N/A N/A 6,521,577,155.50
KGB6MBM K Government Bond 6 Months BM Fund THB 28/02/2025 10.0789 +0.0116
0.1152 %
N/A N/A 7,096,135,485.57
KGB6MBN K Government Bond 6 Months BN Fund THB 28/02/2025 10.0705 +0.0150
0.1492 %
N/A N/A 3,163,946,095.17
KGB6MBO K Government Bond 6 Months BO Fund THB 28/02/2025 10.0622 +0.0143
0.1423 %
N/A N/A 4,300,475,646.38
KGB6MBP K Government Bond 6 Months BP Fund THB 28/02/2025 10.0579 +0.0144
0.1434 %
N/A N/A 8,798,738,333.52
KGB6MBQ K Government Bond 6 Months BQ Fund THB 28/02/2025 10.0488 +0.0122
0.1216 %
N/A N/A 8,814,777,065.53
KGB6MBR K Government Bond 6 Months BR Fund THB 28/02/2025 10.0445 +0.0175
0.1745 %
N/A N/A 8,095,811,291.69
KGB6MBS K Government Bond 6 Months BS Fund THB 28/02/2025 10.0316 +0.0175
0.1748 %
N/A N/A 7,314,552,654.79
K-GB6MBT K Government Bond 6 Months BT Fund THB 28/02/2025 10.0230 +0.0188
0.1879 %
N/A N/A 4,763,392,011.13
K-GB6MBU K Government Bond 6 Months BU Fund THB 28/02/2025 10.0150 +0.0189
0.1891 %
N/A N/A 8,406,691,341.39
K-GB6MBV K Government Bond 6 Months BV Fund THB 28/02/2025 10.0142 0.0000
0.0000 %
N/A N/A 8,832,090,453.80
K-GB6MBW K Government Bond 6 Months BW Fund THB 28/02/2025 10.0077 0.0000
0.0000 %
N/A N/A 7,814,381,828.33
K-GB-A(D) K Global Bond Fund-A(D) THB 24/03/2025 9.0610 -0.0194
0.2136 %
9.1064 9.0610 999,851,390.06
K-GB-C(A) K Global Bond Fund-C(A) THB 24/03/2025 9.0787 -0.0195
0.2143 %
9.0788 9.0787 141,057,804.00
K-GBRMF K Government Bond RMF THB 24/03/2025 15.5746 -0.0084
0.0539 %
15.5747 15.5746 12,246,876,977.57
K-GDBOND-A(A) K Global Dynamic Bond Fund-A(A)
recommend
THB 21/03/2025 8.8915 -0.0106
0.1191 %
8.9361 8.8915 1,087,879,425.69
K-GDRMF K Gold RMF THB 24/03/2025 21.7331 -0.0459
0.2108 %
21.7332 21.7331 6,466,011,684.21
K-GEMO K Global Emerging Market Opportunities Fund THB 21/03/2025 9.2914 -0.0523
0.5597 %
9.4309 9.2914 644,202,868.61
K-GHEALTH K Global Healthcare Equity Fund
recommend
THB 21/03/2025 10.7696 -0.0582
0.5375 %
10.9312 10.7696 3,412,225,102.53
K-GHEALTH(UH) K Global Healthcare Equity Unhedged Fund
recommend
THB 21/03/2025 10.5136 -0.0193
0.1832 %
10.6714 10.5136 812,314,902.80
K-GHRMF K Global Healthcare Equity RMF THB 21/03/2025 13.1039 -0.0704
0.5344 %
13.1040 13.1039 3,062,029,171.55
K-GIFRMF K Global Infrastructure Equity RMF THB 21/03/2025 12.6261 -0.1203
0.9438 %
12.6262 12.6261 379,070,235.68
K-GINCOME-A(A) K Global Income Fund-A(A) THB 21/03/2025 12.2694 -0.0464
0.3768 %
12.4535 12.2694 2,988,504,844.75
K-GINCOME-A(R) K Global Income Fund-A(R) THB 21/03/2025 12.2568 -0.0463
0.3763 %
12.4408 12.2568 3,780,206,606.64
K-GINCOMERMF K Global Income RMF THB 21/03/2025 10.7709 -0.0405
0.3746 %
10.7710 10.7709 563,910,557.34
K-GINCOME-SSF K Global Income Fund-SSF THB 21/03/2025 11.8669 -0.0448
0.3761 %
11.8670 11.8669 2,634,347,860.88
K-GINFRA-A(D) K Global Infrastructure Equity Fund-A(D)
recommend
THB 24/03/2025 10.0004 +0.0113
0.1131 %
10.1505 10.0004 761,836,796.86
K-GINFRA-C(A) K Global Infrastructure Equity Fund-C(A)
recommend
THB 24/03/2025 9.7311 +0.0110
0.1132 %
9.7312 9.7311 11,539.83
K-GLOBE K Global Equity Fund THB 21/03/2025 11.5132 +0.0354
0.3084 %
11.6860 11.5132 9,518,144,347.15
KGLTF-A(D) K Growth LTF-A(D) THB 24/03/2025 11.6261 +0.0403
0.3478 %
11.7425 11.6261 1,836,060.20
KGLTF-C(L) K Growth LTF-C(L) THB 24/03/2025 11.0258 +0.0385
0.3504 %
11.0259 11.0258 2,562,133,553.68
K-GOLD-A(A) K Gold Fund-A(A)
recommend
THB 24/03/2025 17.0413 -0.0364
0.2131 %
17.0584 17.0243 2,025,107,508.13
K-GOLD-A(D) K Gold Fund-A(D)
recommend
THB 24/03/2025 13.4650 -0.0288
0.2134 %
13.4786 13.4515 6,982,247,337.56
K-GPA22A-UI K Global Private Asset 22A Fund Not for Retail Investors THB 02/01/2025 9.8255 -0.0054
0.0549 %
N/A 9.8255 1,044,008,271.14
K-GPC-UI K Global Private Credit Fund Not for Retail Investors THB 03/02/2025 9.8965 -0.0450
0.4526 %
10.0450 9.8965 503,074,974.30
K-GPE19A-UI K Global Private Equity 19A Fund Not for Retail Investors THB 24/02/2025 13.5656 -0.0524
0.3848 %
N/A 13.5656 3,451,460,228.58
K-GPE22B-UI K Global Private Equity 22B Fund Not for Retail Investors THB 30/12/2024 11.1303 +1.2514
12.6674 %
N/A N/A 3,182,242,523.58
K-GPEQ-UI K Global Private Equity Fund Not for Retail Investors THB 03/02/2025 9.6499 -0.2002
2.0325 %
9.8430 N/A 1,029,742,254.14
K-GPINUH-A(A) K Global Equity Premium Income Unhedged Fund-A(A) THB 21/03/2025 10.3601 +0.0212
0.2051 %
10.4638 10.3601 475,073,490.95
K-GPINUH-A(R) K Global Equity Premium Income Unhedged Fund-A(R) THB 21/03/2025 10.3594 +0.0212
0.2051 %
10.4631 10.3594 503,189,181.47
K-GPINUH-C(A) K Global Equity Premium Income Unhedged Fund-C(A) THB 21/03/2025 10.3643 +0.0212
0.2050 %
10.3644 10.3643 37,177,369.49
K-GPROP-A(A) K Global Property Equity Fund-A(A) THB 24/03/2025 7.8504 +0.0451
0.5778 %
7.9683 7.8504 96,691,810.03
K-GPROP-A(D) K Global Property Equity Fund-A(D) THB 24/03/2025 7.3535 +0.0422
0.5772 %
7.4639 7.3535 294,611,190.74
K-GSELECT K Global Select Equity Fund
recommend
THB 21/03/2025 9.9462 -0.0327
0.3277 %
10.0955 9.9462 1,131,267,272.34
K-GSELECTRMF K Global Select Equity RMF THB 21/03/2025 9.8976 -0.0337
0.3393 %
9.8977 9.8976 117,573,743.53
K-GSELECTU-A(A) K Global Select Equity Unhedged Fund-A(A)
recommend
THB 21/03/2025 9.8202 +0.0036
0.0367 %
9.9676 9.8202 1,803,790,004.37
K-GSELECTU-C(A) K Global Select Equity Unhedged Fund-C(A) THB 21/03/2025 9.8278 +0.0038
0.0387 %
9.8279 9.8278 272,573,416.40
K-GSTEPA K Guaranteed Step-up A Fund THB 20/03/2025 10.1704 +0.0271
0.2672 %
N/A 10.1704 2,151,169,679.40
K-GSTEPB K Guaranteed Step-up B Fund THB 20/03/2025 10.1084 +0.0242
0.2400 %
N/A 10.1084 1,177,558,761.52
K-GTECH K Global Technology Equity Fund
recommend
THB 20/03/2025 12.6590 -0.0440
0.3464 %
12.8490 12.6590 1,085,691,820.62
K-GTECHRMF K Global Technology Equity RMF THB 20/03/2025 12.0679 -0.0428
0.3534 %
12.0680 12.0679 583,093,582.74
K-GTPE20A-UI K Global Tech PE 20A Fund Not for Retail Investors THB 30/12/2024 9.9084 +0.1238
1.2653 %
N/A N/A 1,808,979,282.50
K-GVC23A-UI K Global VC PE 23A Fund Not for Retail Investors THB 30/12/2024 10.3497 +0.7409
7.7106 %
N/A N/A 1,253,762,532.96
K-HIT-A(A) K Global High Impact Thematic Equity Fund-A(A)
recommend
THB 21/03/2025 15.0051 -0.0873
0.5784 %
15.2303 15.0051 929,068,539.04
K-ICT K ICT Sector Index Fund THB 24/03/2025 12.3350 +0.2163
1.7848 %
12.3474 12.3227 225,993,563.12
K-INDIA-A(A) K India Equity Fund-A(A) THB 24/03/2025 12.6712 +0.1670
1.3356 %
12.8614 12.6712 902,916,013.39
K-INDIA-A(D) K India Equity Fund-A(D) THB 24/03/2025 11.6999 +0.1541
1.3347 %
11.8755 11.6999 1,640,853,997.82
K-INDIARMF K India Equity RMF THB 21/03/2025 10.4065 +0.1517
1.4793 %
10.4066 10.4065 294,056,624.67
K-INDX K Indian Equity Index Fund THB 21/03/2025 15.7026 +0.2055
1.3261 %
15.7184 15.6790 504,131,464.88
KJG6ME K Japanese Government Bond 6ME Fund THB 12/11/2024 10.1027 -0.1366
1.3341 %
N/A 10.1027 6,817,547,927.27
KJG6MF K Japanese Government Bond 6MF Fund THB 11/12/2024 10.1034 +0.0919
0.9179 %
N/A 10.1034 4,945,376,767.98
KJG6MG K Japanese Government Bond 6MG Fund THB 10/01/2025 10.1049 -0.1412
1.3781 %
N/A 10.1049 5,381,214,363.67
KJG6MH K Japanese Government Bond 6MH Fund THB 10/02/2025 10.1048 -0.1255
1.2267 %
N/A 10.1048 4,690,356,194.47
KJG6MI K Japanese Government Bond 6MI Fund THB 20/02/2025 10.0927 +0.0025
0.0248 %
N/A 10.0927 5,282,593,688.56
KJG6MJ K Japanese Government Bond 6MJ Fund THB 28/02/2025 10.0946 +0.0658
0.6561 %
N/A N/A 2,685,277,608.95
K-JG6MK K Japanese Government Bond 6MK Fund THB 28/02/2025 10.0254 0.0000
0.0000 %
N/A N/A 5,151,184,356.62
K-JP-A(D) K Japan Equity Fund-A(D) THB 19/03/2025 10.8759 +0.0165
0.1519 %
11.0391 10.8759 1,584,719,611.81
K-JPRMF K Japan Equity RMF THB 19/03/2025 18.7266 +0.0276
0.1476 %
18.7267 18.7266 630,866,085.59
K-JPX-A(A) K Japanese Equity Index Fund-A(A) THB 24/03/2025 22.2759 -0.0776
0.3471 %
22.2983 22.2425 804,338,927.85
K-JPX-C(A) K Japanese Equity Index Fund-C(A) THB 24/03/2025 22.8084 -0.0795
0.3473 %
22.8313 22.8084 110,425,459.50
K-MIDSMALL K Mid Small Cap Equity Fund THB 24/03/2025 11.4484 -0.0521
0.4530 %
11.5630 11.4484 340,919,368.23
K-MONEY K Money Market Fund THB 24/03/2025 12.7235 +0.0012
0.0094 %
12.7236 12.7235 22,076,670,230.01
KMSLTF-A(A) K Mid Small Cap LTF-A(A) THB 24/03/2025 8.8764 -0.0427
0.4787 %
8.9653 8.8764 1,094,842.88
KMSLTF-C(L) K Mid Small Cap LTF-C(L) THB 24/03/2025 8.9599 -0.0429
0.4765 %
8.9600 8.9599 548,491,803.04
K-MSRMF K Mid Small Cap Equity RMF THB 24/03/2025 12.1172 -0.0561
0.4608 %
12.1173 12.1172 2,791,956,258.67
K-MVEQ K Minimum Volatility Quantitative Equity Fund THB 24/03/2025 9.4327 +0.0558
0.5951 %
9.5271 9.4327 52,268,483.39
KMVLTF-A(A) K Minimum Volatility Quantitative LTF-A(A) THB 24/03/2025 9.2878 +0.0566
0.6131 %
9.3808 9.2878 677,512.70
KMVLTF-C(L) K Minimum Volatility Quantitative LTF-C(L) THB 24/03/2025 9.3348 +0.0571
0.6155 %
9.3349 9.3348 124,839,273.39
K-OIL K Oil Fund THB 21/03/2025 5.2927 -0.0058
0.1095 %
5.2981 5.2848 1,048,567,957.78
K-PLAN1 K Plan 1 Fund
recommend
THB 24/03/2025 14.1578 +0.0008
0.0057 %
14.1579 14.1578 15,254,000,057.70
K-PLAN2 K Plan 2 Fund
recommend
THB 24/03/2025 16.8422 +0.0108
0.0642 %
16.9265 16.8422 1,657,887,263.97
K-PLAN3 K Plan 3 Fund
recommend
THB 24/03/2025 19.9538 +0.0279
0.1400 %
20.0537 19.9538 1,547,858,983.40
K-PLANET-A(A) K Planetary Transition Fund-A(A) THB 20/03/2025 10.7827 -0.0265
0.2452 %
10.9445 10.7827 1,131,748,800.31
K-PLANETRMF K Planetary Transition RMF THB 20/03/2025 10.6769 -0.0258
0.2411 %
10.6770 10.6769 26,872,664.38
K-PROPI-A(D) K Property Infrastructure Flexible Fund-A(D)
recommend
THB 24/03/2025 8.4353 -0.0142
0.1681 %
8.5198 8.4353 9,547,477,345.56
K-PROPIRMF K Property Infrastructure Flexible RMF THB 24/03/2025 8.5471 -0.0142
0.1659 %
8.5472 8.5471 476,338,784.80
KPVDEQ K Equity Fund for PVD THB 24/03/2025 8.2700 +0.0200
0.2424 %
8.2701 8.2700 1,231,015,399.43
KPVDFI K Fixed Income Fund for PVD THB 24/03/2025 11.4418 -0.0027
0.0236 %
11.4419 11.4418 2,133,314,168.97
KPVDSF K Short Term Fixed Income Fund for PVD THB 24/03/2025 11.1021 +0.0023
0.0207 %
11.1022 11.1021 670,170,084.32
KS50LTF-A(A) K SET50 LTF-A(A) THB 24/03/2025 9.8475 +0.0464
0.4734 %
9.8574 9.8377 9,676,132.24
KS50LTF-C(L) K SET50 LTF-C(L) THB 24/03/2025 9.7410 +0.0459
0.4734 %
9.7411 9.7410 945,684,545.20
K-S50RMF K SET50 RMF THB 24/03/2025 10.6897 +0.0502
0.4718 %
10.6898 10.6897 3,153,756,575.71
KSDLTF K Strategic Defensive LTF THB 24/03/2025 9.2335 +0.0309
0.3358 %
N/A 9.0950 184,684,319.44
K-SELECT K Select Equity Fund THB 24/03/2025 4.6518 -0.0070
0.1503 %
4.6984 4.6518 326,564,414.18
K-SEMQ K Selective Emerging Markets Equity Fund THB 21/03/2025 11.1633 +0.0336
0.3019 %
11.3309 11.1633 1,220,621,121.34
K-SET50 K SET 50 Index Fund THB 24/03/2025 28.0705 +0.1321
0.4728 %
28.0987 28.0424 5,959,836,014.18
K-SF-A K Short Term Fixed Income Fund-A
recommend
THB 24/03/2025 11.8019 +0.0011
0.0093 %
11.8020 11.8019 221,545,949,776.71
K-SFPLUS K SF Plus Fund
recommend
THB 24/03/2025 11.3361 +0.0013
0.0115 %
11.3362 11.3361 123,872,063,314.69
K-SFRMF K Short Term Fixed Income RMF THB 24/03/2025 14.9246 +0.0025
0.0168 %
14.9247 14.9246 12,403,196,967.60
K-SF-SSF K Short Term Fixed Income Fund-SFF THB 24/03/2025 11.7942 +0.0011
0.0093 %
11.7943 11.7942 1,099,891,422.01
KSG6MA K Singapore Government Bond 6MA Fund THB 28/02/2025 10.0755 +0.0122
0.1212 %
N/A N/A 3,962,275,383.72
K-SGM K Strategic Global Multi-Asset Fund THB 20/03/2025 10.2597 +0.0074
0.0722 %
10.3367 10.2597 403,944,255.54
K-STAR-A(A) K STAR Equity Fund-A(A) THB 24/03/2025 31.5377 +0.1002
0.3187 %
31.6955 31.5377 1,344,681,202.55
K-STAR-A(R) K STAR Equity Fund-A(R) THB 24/03/2025 31.5067 +0.1001
0.3187 %
31.6643 31.5067 1,289,807,505.32
K-STAR-C(A) K STAR Equity Fund-C(A) THB 24/03/2025 31.0163 +0.0986
0.3189 %
31.0164 31.0163 8,544.05
K-STAR-I(D) K STAR Equity Fund-I(D) THB 24/03/2025 31.5845 +0.1004
0.3189 %
31.7425 31.5845 881.19
K-STARRMF K STAR Equity RMF THB 24/03/2025 24.4375 +0.0814
0.3342 %
24.4376 24.4375 8,631,334,053.44
K-STAR-SSF K STAR Equity Fund-SSF THB 24/03/2025 31.7044 +0.1011
0.3199 %
31.7045 31.7044 1,265,587,339.41
K-STEQ-A(A) K Strategic Trading Equity Fund-A(A) THB 24/03/2025 31.8667 +0.1181
0.3720 %
32.1855 31.8667 313,923,048.95
K-STEQ-C(A) K Strategic Trading Equity Fund-C(A) THB 24/03/2025 29.9671 +0.1111
0.3721 %
29.9672 29.9671 8,786.68
K-STN-UI-A(A) K Sustainable Fund Not for Retail Investors-A(A) THB 18/12/2024 8.2654 -0.0260
0.3136 %
N/A 8.2654 26,909,631.22
K-SUPSTAR-SSFX K Superstar Super Savings Fund Extra THB 24/03/2025 8.6181 +0.0286
0.3330 %
8.6182 8.6181 1,684,638,255.73
K-TFT6 K Thai Flexible Trigger 6 Fund THB 24/03/2025 7.9670 -0.0033
0.0414 %
N/A 7.9670 211,697,540.16
K-THAICGRMF K Thai Equity CG RMF THB 24/03/2025 8.5624 +0.0177
0.2071 %
8.5625 8.5624 342,313,764.69
K-THRE24A-UI K Thailand Real Estate 24A Fund Not for Retail Investors THB 30/12/2024 9.9299 0.0000
0.0000 %
N/A N/A 1,162,857,543.97
K-TNZ-A(A) K Target Net Zero Thai Equity Fund-A(A) THB 24/03/2025 8.8437 +0.0327
0.3711 %
8.8438 8.8437 134,130,959.45
K-TNZ-ThaiESG K Target Net Zero Thai Equity Fund-ThaiESG
recommend
THB 24/03/2025 8.8423 +0.0327
0.3712 %
8.8424 8.8423 3,081,073,833.46
K-TREASURY K Treasury Fund THB 24/03/2025 13.6779 +0.0014
0.0102 %
13.6780 13.6779 33,149,139,287.52
K-US500X-A(A) K US Equity Passive Fund-A(A) THB 24/03/2025 12.4885 +0.2100
1.7103 %
12.5011 12.4698 6,012,667,800.62
K-US500X-C(A) K US Equity Passive Fund-C(A) THB 24/03/2025 12.5744 +0.2115
1.7108 %
12.5871 12.5744 31,782,117.31
K-US500XRMF K US Equity Passive RMF THB 21/03/2025 9.9969 +0.0007
0.0070 %
9.9970 9.9969 364,219,560.37
K-USA-A(A) K USA Equity Fund-A(A)
recommend
THB 20/03/2025 16.3575 -0.0236
0.1441 %
16.6030 16.3575 3,995,623,954.54
K-USA-A(D) K USA Equity Fund-A(D)
recommend
THB 20/03/2025 12.3170 -0.0178
0.1443 %
12.5019 12.3170 6,248,764,986.47
K-USARMF K USA Equity RMF THB 20/03/2025 6.5090 -0.0096
0.1473 %
6.5091 6.5090 1,639,597,352.27
K-USA-SSF K USA Equity Fund-SSF THB 20/03/2025 15.2593 -0.0219
0.1433 %
15.2594 15.2593 1,006,355,629.31
K-USXNDQ-A(A) K US Equity NDQ 100 Index Fund-A(A)
recommend
THB 24/03/2025 34.8583 +0.6891
2.0167 %
34.8933 34.8060 5,057,823,729.95
K-USXNDQ-A(D) K US Equity NDQ 100 Index Fund-A(D)
recommend
THB 24/03/2025 23.8545 +0.4716
2.0169 %
23.8785 23.8187 7,240,990,575.71
K-USXNDQRMF K US Equity NDQ 100 Index RMF THB 21/03/2025 10.1137 +0.0416
0.4130 %
10.1138 10.1137 306,683,889.06
K-VALUE K Valued Stock Fund
recommend
THB 24/03/2025 5.1372 +0.0052
0.1013 %
5.1887 5.1372 2,082,310,275.93
K-VIETNAM K Vietnam Equity Fund
recommend
THB 24/03/2025 13.1112 +0.0693
0.5314 %
13.3080 13.1112 11,130,319,749.31
K-VIETNAMRMF K Vietnam Equity RMF THB 24/03/2025 9.3135 +0.0538
0.5810 %
9.3136 9.3135 2,574,598,943.16
K-VIETNAM-SSF K Vietnam Equity SSF THB 24/03/2025 11.7007 +0.0674
0.5794 %
11.7008 11.7007 1,320,885,581.47
K-WORLDX K Global Equity Passive Fund THB 24/03/2025 14.0327 +0.1965
1.4202 %
14.0468 14.0117 3,897,803,491.29
K-WPBALANCED K WealthPLUS Balanced Fund
recommend
THB 21/03/2025 9.7325 -0.0147
0.1508 %
9.7813 9.7325 23,236,066,094.22
K-WPBALRMF K WealthPLUS Balanced RMF THB 21/03/2025 10.6201 -0.0159
0.1495 %
10.6202 10.6201 1,048,136,186.76
K-WPLIGHT K WealthPLUS Light Fund
recommend
THB 21/03/2025 9.9471 -0.0069
0.0693 %
9.9969 9.9471 3,950,085,943.75
K-WPSPARK K WealthPLUS Spark Fund
recommend
THB 21/03/2025 9.7090 -0.0239
0.2456 %
9.7576 9.7090 1,549,467,885.48
K-WPSPEEDRMF K WealthPLUS SpeedUp RMF THB 21/03/2025 9.9820 +0.0296
0.2974 %
9.9821 9.9820 124,272,705.83
K-WPSPEEDUP K WealthPLUS SpeedUp Fund
recommend
THB 21/03/2025 9.0873 +0.0267
0.2947 %
9.1328 9.0873 13,504,769,978.60
K-WPULTIMATE K WealthPLUS Ultimate Fund
recommend
THB 21/03/2025 9.1556 +0.0279
0.3057 %
9.2015 9.1556 3,520,437,560.09
K-WPULTIRMF K WealthPLUS Ultimate RMF THB 21/03/2025 10.4448 +0.0298
0.2861 %
10.4449 10.4448 312,398,439.86
RKBC The Ruang Khao Balanced Class THB 24/03/2025 24.8955 +0.0341
0.1372 %
25.0201 24.7710 159,533,362.51
RKF4 The Ruang Khao 4 Fund THB 24/03/2025 4.8456 +0.0168
0.3479 %
4.8942 4.8456 186,025,754.52

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