ABFTH |
The ABF Thailand Bond Index Fund |
|
THB |
19/06/2025 |
1,374.8009 |
+2.9289 0.2135 % |
N/A |
N/A |
11,951,896,936.41 |
|
|
K-2035RMF |
K Target Retirement 2035 RMF |
|
THB |
18/06/2025 |
11.4036 |
+0.0061 0.0535 % |
11.4037 |
11.4036 |
986,752,740.04 |
|
|
K-2040RMF |
K Target Retirement 2040 RMF |
|
THB |
18/06/2025 |
11.3733 |
+0.0060 0.0528 % |
11.3734 |
11.3733 |
621,124,266.13 |
|
|
K20SLTF-A(D) |
K 20 Select LTF-A(D) |
|
THB |
19/06/2025 |
9.9270 |
-0.3563 3.4648 % |
10.0264 |
9.9270 |
6,544,066.75 |
|
|
K20SLTF-C(L) |
K 20 Select LTF-C(L) |
|
THB |
19/06/2025 |
10.0171 |
-0.3595 3.4645 % |
10.0172 |
10.0171 |
4,621,369,011.29 |
|
|
K-2500 |
K Lifestyle Fund 2500 |
|
THB |
19/06/2025 |
15.8478 |
-0.0179 0.1128 % |
15.8479 |
15.8082 |
269,837,289.13 |
|
|
K-2510 |
K Lifestyle Fund 2510 |
|
THB |
19/06/2025 |
17.3247 |
-0.0508 0.2924 % |
17.3248 |
17.2814 |
119,947,446.57 |
|
|
K-2520 |
K Lifestyle Fund 2520 |
|
THB |
19/06/2025 |
19.3142 |
-0.1589 0.8160 % |
19.3143 |
19.2659 |
188,044,322.47 |
|
|
K-2530 |
K Lifestyle Fund 2530 |
|
THB |
19/06/2025 |
20.8789 |
-0.2324 1.1008 % |
20.8790 |
20.8267 |
354,358,967.81 |
|
|
K70LTF-A(D) |
K Equity 70:30 LTF-A(D) |
|
THB |
19/06/2025 |
11.3578 |
-0.2473 2.1310 % |
11.4715 |
11.3578 |
6,775,058.10 |
|
|
K70LTF-C(L) |
K Equity 70:30 LTF-C(L) |
|
THB |
19/06/2025 |
10.6032 |
-0.2309 2.1312 % |
10.6033 |
10.6032 |
6,973,279,430.08 |
|
|
K-70ThaiESGX-68 |
K 70:30 Thailand ESG Extra Fund-68 |
recommend |
THB |
19/06/2025 |
9.4170 |
-0.1389 1.4536 % |
9.4171 |
9.4170 |
453,903,720.26 |
|
|
K-70ThaiESGX-L |
K 70:30 Thailand ESG Extra Fund-L |
recommend |
THB |
19/06/2025 |
9.4171 |
-0.1389 1.4535 % |
9.4172 |
9.4171 |
2,071,115,181.03 |
|
|
K-AB22A |
K Fixed Income AB 2022A Fund |
|
THB |
19/06/2025 |
10.1436 |
+0.0062 0.0612 % |
N/A |
10.1436 |
716,546,841.10 |
|
|
K-AB22B |
K Fixed Income AB 2022B Fund |
|
THB |
19/06/2025 |
9.9463 |
+0.0053 0.0533 % |
N/A |
9.9463 |
317,953,706.34 |
|
|
KACB |
KA Corporate Bond Fund |
|
THB |
19/06/2025 |
18.7022 |
+0.0083 0.0444 % |
18.8426 |
18.7022 |
2,481,337,328.21 |
|
|
K-AEC |
K ASEAN Economic Community Equity Fund |
|
THB |
18/06/2025 |
10.6188 |
-0.0983 0.9172 % |
10.7782 |
10.6188 |
89,679,357.02 |
|
|
KAEQ |
KA Equity Fund |
|
THB |
19/06/2025 |
86.8240 |
-2.8688 3.1985 % |
89.4288 |
84.2193 |
1,012,940,452.37 |
|
|
K-AGRI |
K Agriculture Fund |
|
THB |
18/06/2025 |
6.2773 |
-0.0245 0.3888 % |
6.2868 |
6.2679 |
66,455,939.82 |
|
|
K-AHY |
K Asia High Yield Bond Fund |
|
THB |
17/06/2025 |
9.7309 |
+0.0120 0.1235 % |
9.7797 |
9.7309 |
1,798,783,338.91 |
|
|
K-AHYA-UI |
K Asia High Yield A Fund Not for Retail Investors |
|
THB |
17/06/2025 |
8.4814 |
+0.0101 0.1192 % |
N/A |
8.4814 |
1,129,986,660.00 |
|
|
K-AHYB-UI |
K Asia High Yield B Fund Not for Retail Investors |
|
THB |
17/06/2025 |
9.6303 |
+0.0110 0.1144 % |
N/A |
9.6303 |
1,204,695,156.55 |
|
|
K-AHYC-UI |
K Asia High Yield C Fund Not for Retail Investors |
|
THB |
17/06/2025 |
8.9131 |
+0.0106 0.1191 % |
N/A |
8.9131 |
952,531,250.22 |
|
|
K-AHYD-UI |
K Asia High Yield D Fund Not for Retail Investors |
|
THB |
17/06/2025 |
10.7400 |
+0.0135 0.1259 % |
N/A |
10.7400 |
575,290,043.56 |
|
|
K-ALLBASIC |
K All Roads Basic Fund |
|
THB |
17/06/2025 |
11.1407 |
-0.0017 0.0153 % |
11.1965 |
11.1407 |
1,362,067,631.10 |
|
|
K-ALLEN-UI-A(A) |
K All Roads Enhanced Fund Not for Retail Investors-A(A) |
|
THB |
17/06/2025 |
10.0596 |
-0.0106 0.1053 % |
10.2106 |
10.0596 |
9,884,924,231.09 |
|
|
K-ALLEN-UI-C(A) |
K All Roads Enhanced Fund Not for Retail Investors-C(A) |
|
THB |
17/06/2025 |
10.0600 |
-0.0106 0.1053 % |
10.0601 |
10.0600 |
662,424,000.86 |
|
|
K-ALLGR-UI-A(A) |
K All Roads Growth Fund Not for Retail Investors-A(A) |
|
THB |
17/06/2025 |
10.4360 |
-0.0074 0.0709 % |
10.5405 |
10.4360 |
8,142,517,473.44 |
|
|
K-ALLGR-UI-C(A) |
K All Roads Growth Fund Not for Retail Investors-C(A) |
|
THB |
17/06/2025 |
10.4369 |
-0.0074 0.0709 % |
10.4370 |
10.4369 |
113,580,666.70 |
|
|
K-ALLRD-UI-A(A) |
K All Roads Fund Not for Retail Investors-A(A) |
|
THB |
17/06/2025 |
9.8740 |
-0.0023 0.0233 % |
9.9235 |
9.8740 |
1,179,021,569.18 |
|
|
K-ALPHA-AGG-UI |
K Alpha-Aggressive Fund Not for Retail Investors |
|
THB |
13/06/2025 |
10.1922 |
-0.0240 0.2349 % |
10.3961 |
10.0903 |
309,092,557.40 |
|
|
K-ALPHA-MOD-UI |
K Alpha-Moderate Fund Not for Retail Investors |
|
THB |
13/06/2025 |
10.2671 |
-0.0201 0.1954 % |
10.3955 |
10.1644 |
523,621,126.22 |
|
|
K-APB-A(A) |
K Asia Pacific Bond Fund-A(A) |
|
THB |
17/06/2025 |
9.6544 |
+0.0072 0.0746 % |
9.7028 |
9.6544 |
3,659,624,536.41 |
|
|
K-APB-C(A) |
K Asia Pacific Bond Fund-C(A) |
|
THB |
17/06/2025 |
9.6619 |
+0.0073 0.0756 % |
9.6620 |
9.6619 |
74,293,394.64 |
|
|
KASF |
KA Short Term Fixed-Income Fund |
|
THB |
19/06/2025 |
16.8176 |
+0.0036 0.0214 % |
16.9438 |
16.8176 |
573,597,929.80 |
|
|
K-ASIA |
K Asian Smaller Companies Equity Fund |
|
THB |
18/06/2025 |
10.7022 |
+0.1353 1.2804 % |
10.8628 |
10.7022 |
718,274,251.96 |
|
|
K-ASIACV-A(A) |
K Asia Controlled Volatility Fund-A(A) |
|
THB |
17/06/2025 |
6.3368 |
-0.0370 0.5805 % |
6.4320 |
6.3368 |
1,384,200,524.36 |
|
|
K-ASIAX |
K Asia Equity Passive Fund |
|
THB |
18/06/2025 |
8.2113 |
-0.0047 0.0572 % |
8.2196 |
8.1990 |
363,770,812.79 |
|
|
K-ATECH |
K Asia Technology Equity Fund |
|
THB |
18/06/2025 |
6.2103 |
+0.0154 0.2486 % |
6.3036 |
6.2103 |
1,943,584,981.94 |
|
|
K-BANKING |
K Banking Sector Index Fund |
|
THB |
19/06/2025 |
12.5921 |
-0.1886 1.4757 % |
12.6048 |
12.5795 |
246,330,315.30 |
|
|
K-BL30-ThaiESG |
K ESG Balanced 30 Fund-ThaiESG |
|
THB |
19/06/2025 |
9.8322 |
-0.0899 0.9061 % |
9.8323 |
9.8322 |
392,525,646.82 |
|
|
K-BLRMF |
K Balanced RMF |
|
THB |
19/06/2025 |
25.6316 |
-0.2893 1.1161 % |
25.6317 |
25.6316 |
5,782,563,689.94 |
|
|
K-CASH |
K Cash Management Fund |
|
THB |
19/06/2025 |
13.8432 |
+0.0007 0.0051 % |
13.8433 |
13.8432 |
52,496,105,424.91 |
|
|
K-CBOND-A |
K Corporate Bond Fund-A |
|
THB |
19/06/2025 |
19.5837 |
+0.0081 0.0414 % |
19.5838 |
19.5837 |
6,999,122,691.02 |
|
|
K-CBOND-Z |
K Corporate Bond Fund-Z |
|
THB |
19/06/2025 |
19.8637 |
+0.0085 0.0428 % |
19.8638 |
19.8637 |
692,866,672.04 |
|
|
K-CCTV-A(A) |
K China Controlled Volatility Fund-A(A) |
|
THB |
18/06/2025 |
8.6070 |
-0.0473 0.5465 % |
8.7362 |
8.6070 |
3,965,002,996.76 |
|
|
K-CHANGE-A(A) |
K Positive Change Equity Fund-A(A) |
|
THB |
18/06/2025 |
18.5689 |
-0.0086 0.0463 % |
18.8475 |
18.5689 |
6,589,383,829.27 |
|
|
K-CHANGE-C(A) |
K Positive Change Equity Fund-C(A) |
|
THB |
18/06/2025 |
18.7759 |
-0.0087 0.0463 % |
18.7760 |
18.7759 |
6,160,923.13 |
|
|
K-CHANGERMF |
K Positive Change Equity RMF |
|
THB |
18/06/2025 |
9.8810 |
-0.0049 0.0496 % |
9.8811 |
9.8810 |
3,751,273,736.46 |
|
|
K-CHANGE-SSF |
K Positive Change Equity Fund-SSF |
|
THB |
18/06/2025 |
18.5467 |
-0.0085 0.0458 % |
18.5468 |
18.5467 |
4,737,630,068.34 |
|
|
K-CHAPE23A-UI |
K China Private Equity 23A Fund Not for Retail Investors |
|
THB |
31/03/2025 |
10.5093 |
-0.0890 0.8398 % |
N/A |
N/A |
763,101,548.14 |
|
|
K-CHAPE24B-UI |
K China Private Equity 24B Fund Not for Retail Investors |
|
THB |
31/03/2025 |
10.2228 |
+0.0028 0.0274 % |
N/A |
N/A |
391,873,979.09 |
|
|
K-CHINA-A(A) |
K China Equity Fund-A(A) |
|
THB |
18/06/2025 |
5.0777 |
-0.0462 0.9017 % |
5.1540 |
5.0777 |
3,997,680,696.38 |
|
|
K-CHINA-A(D) |
K China Equity Fund-A(D) |
|
THB |
18/06/2025 |
5.0202 |
-0.0456 0.9002 % |
5.0956 |
5.0202 |
11,637,064,314.11 |
|
|
K-CHINARMF |
K China Equity RMF |
|
THB |
18/06/2025 |
5.0845 |
-0.0463 0.9024 % |
5.0846 |
5.0845 |
4,617,943,373.39 |
|
|
K-CHINA-SSF |
K China Equity Fund-SSF |
|
THB |
18/06/2025 |
5.0941 |
-0.0463 0.9007 % |
5.0942 |
5.0941 |
1,536,470,816.92 |
|
|
K-CHX |
K Chinese Equity Index Fund |
|
THB |
18/06/2025 |
11.4731 |
-0.0094 0.0819 % |
11.4847 |
11.4559 |
1,912,543,380.93 |
|
|
K-DFIXED |
K Dynamic Fixed Income Fund |
|
THB |
19/06/2025 |
10.8300 |
+0.0058 0.0536 % |
10.8301 |
10.8300 |
282,546,165.53 |
|
|
KDLTF-A(D) |
K Equity Dividend LTF-A(D) |
|
THB |
19/06/2025 |
11.5420 |
-0.3651 3.0662 % |
11.6575 |
11.5420 |
6,406,802.59 |
|
|
KDLTF-C(L) |
K Equity Dividend LTF-C(L) |
|
THB |
19/06/2025 |
10.9417 |
-0.3461 3.0661 % |
10.9418 |
10.9417 |
5,792,500,220.56 |
|
|
K-ENERGY |
K Energy Sector Index Fund |
|
THB |
19/06/2025 |
10.1203 |
-0.1877 1.8209 % |
10.1305 |
10.1102 |
172,740,299.06 |
|
|
KEQLTF-A(A) |
K Equity LTF-A(A) |
|
THB |
19/06/2025 |
22.3476 |
-0.7090 3.0750 % |
22.5712 |
22.3476 |
1,272,270.78 |
|
|
KEQLTF-C(L) |
K Equity LTF-C(L) |
|
THB |
19/06/2025 |
22.4302 |
-0.7116 3.0750 % |
22.4303 |
22.4302 |
3,759,664,050.09 |
|
|
K-EQUITY |
K Equity Fund |
|
THB |
19/06/2025 |
10.3987 |
-0.3396 3.1625 % |
10.5028 |
10.3987 |
1,781,083,711.85 |
|
|
K-ESGSI-ThaiESG |
K ESG Sovereign Instruments Fund-ThaiESG |
recommend |
THB |
19/06/2025 |
11.3602 |
-0.0041 0.0361 % |
11.3603 |
11.3602 |
6,026,857,187.30 |
|
|
K-EURMF |
K European Equity RMF |
|
THB |
18/06/2025 |
18.2098 |
-0.1714 0.9325 % |
18.2099 |
18.2098 |
1,000,715,819.90 |
|
|
K-EUROPE-A(D) |
K European Equity Fund-A(D) |
|
THB |
18/06/2025 |
11.1840 |
-0.1044 0.9248 % |
11.3519 |
11.1840 |
2,579,261,883.83 |
|
|
K-EUSAGE |
K European Silver Age Equity Fund |
|
THB |
17/06/2025 |
9.8948 |
-0.1106 1.1054 % |
10.0433 |
9.8948 |
104,527,640.07 |
|
|
K-EUSMALL |
K European Small Cap Equity Fund |
|
THB |
18/06/2025 |
16.0074 |
-0.1102 0.6837 % |
16.2476 |
16.0074 |
470,677,564.35 |
|
|
K-EUX |
K European Equity Index Fund |
|
THB |
18/06/2025 |
20.5492 |
-0.0875 0.4240 % |
20.5698 |
20.5184 |
983,817,858.68 |
|
|
K-FEQ |
K Flexible Equity Fund |
|
THB |
19/06/2025 |
54.9770 |
-1.7667 3.1135 % |
54.9771 |
54.4272 |
950,540,546.47 |
|
|
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 |
03/04/2025 |
10.1074 |
-0.0981 0.9612 % |
N/A |
10.1074 |
3,053,966,761.11 |
|
|
KFF6MDB-BR |
K Foreign Fixed Income 6MDB Fund Not for Retail Investors |
|
THB |
27/05/2025 |
10.0966 |
+0.0351 0.3489 % |
N/A |
10.0966 |
3,255,888,707.40 |
|
|
K-FF6MDC-BR |
K Foreign Fixed Income 6MDC Fund Not for Retail Investors |
|
THB |
30/05/2025 |
10.1293 |
+0.0986 0.9830 % |
N/A |
N/A |
3,192,878,066.19 |
|
|
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 |
24/04/2025 |
10.1883 |
+0.0002 0.0020 % |
N/A |
10.1883 |
35,032,865.71 |
|
|
KFGB6ME(USD) |
K Foreign Government Bond 6ME USD Fund |
|
USD |
27/05/2025 |
10.2023 |
-0.7170 6.5664 % |
N/A |
10.2023 |
56,435,152.62 |
|
|
KFGB6MF(USD) |
K Foreign Government Bond 6MF USD Fund |
|
USD |
27/05/2025 |
10.1869 |
-0.6338 5.8573 % |
N/A |
10.1869 |
34,521,173.86 |
|
|
K-FGB6MG(USD) |
K Foreign Government Bond 6MG USD Fund |
|
USD |
30/05/2025 |
11.0833 |
+0.2573 2.3767 % |
N/A |
N/A |
61,702,819.36 |
|
|
K-FGB6MH(USD) |
K Foreign Government Bond 6MH USD Fund |
|
USD |
30/05/2025 |
10.8124 |
+0.2368 2.2391 % |
N/A |
N/A |
70,955,964.11 |
|
|
K-FGB6MI(USD) |
K Foreign Government Bond 6MI USD Fund |
|
USD |
30/05/2025 |
10.0783 |
+0.0297 0.2956 % |
N/A |
N/A |
16,269,648.92 |
|
|
K-FGB6MJ(USD) |
K Foreign Government Bond 6MJ USD Fund |
|
USD |
30/05/2025 |
10.2949 |
+0.2918 2.9171 % |
N/A |
N/A |
12,866,722.31 |
|
|
K-FI22G |
K Fixed Income 2022G Fund |
|
THB |
19/06/2025 |
10.2394 |
+0.0055 0.0537 % |
N/A |
10.2394 |
440,233,886.50 |
|
|
K-FI22H |
K Fixed Income 2022H Fund |
|
THB |
19/06/2025 |
10.2299 |
+0.0056 0.0548 % |
N/A |
10.2299 |
204,717,588.60 |
|
|
K-FI22I |
K Fixed Income 2022I Fund |
|
THB |
19/06/2025 |
10.3798 |
+0.0057 0.0549 % |
N/A |
10.3798 |
467,037,871.29 |
|
|
K-FI22J |
K Fixed Income 2022J Fund |
|
THB |
19/06/2025 |
10.3727 |
+0.0067 0.0646 % |
N/A |
10.3727 |
259,438,544.86 |
|
|
KFI3YB-BR |
K Fixed Income 3 Years B Fund Not for Retail Investors |
|
THB |
30/05/2025 |
10.8399 |
+0.0417 0.3862 % |
N/A |
N/A |
3,854,346,702.60 |
|
|
K-FIRMF |
K Fixed Income RMF |
recommend |
THB |
19/06/2025 |
17.3011 |
+0.0133 0.0769 % |
17.3012 |
17.3011 |
15,304,633,397.33 |
|
|
K-FITL |
K FIT Allocation L Fund |
|
THB |
18/06/2025 |
10.8943 |
-0.0070 0.0642 % |
10.9489 |
10.8398 |
212,298,646.18 |
|
|
K-FITM |
K FIT Allocation M Fund |
|
THB |
18/06/2025 |
11.7051 |
-0.0036 0.0307 % |
11.7637 |
11.6466 |
125,691,097.34 |
|
|
K-FITS |
K FIT Allocation S Fund |
|
THB |
18/06/2025 |
11.3657 |
+0.0021 0.0185 % |
11.4226 |
11.3089 |
28,112,939.80 |
|
|
K-FITXL |
K FIT Allocation XL Fund |
|
THB |
18/06/2025 |
11.2827 |
-0.0085 0.0753 % |
11.3392 |
11.2263 |
284,955,749.83 |
|
|
K-FIXED-A |
K Fixed Income Fund-A |
recommend |
THB |
19/06/2025 |
14.0014 |
+0.0093 0.0665 % |
14.0015 |
14.0014 |
158,103,997,549.48 |
|
|
K-FIXEDPLUS-A |
K Fixed Income Plus Fund-A |
recommend |
THB |
19/06/2025 |
11.6033 |
+0.0109 0.0940 % |
11.6034 |
11.6033 |
37,768,938,312.02 |
|
|
K-FIXEDPLUS-SSF |
K Fixed Income Plus Fund-SSF |
|
THB |
19/06/2025 |
11.5950 |
+0.0108 0.0932 % |
11.5951 |
11.5950 |
2,378,383,169.37 |
|
|
K-FIXEDPRO |
K Fixed Income Proactive Fund |
|
THB |
18/06/2025 |
10.3251 |
+0.0148 0.1435 % |
10.3252 |
10.3251 |
793,346,112.04 |
|
|
K-FIXED-Z |
K Fixed Income Fund-Z |
|
THB |
19/06/2025 |
14.2004 |
+0.0097 0.0684 % |
14.2005 |
14.2004 |
3,176,425,500.61 |
|
|
K-FLRMF |
K Flexible Equity RMF |
|
THB |
19/06/2025 |
59.3091 |
-1.8535 3.0304 % |
59.3092 |
59.3091 |
8,352,909,025.51 |
|
|
K-GA-A(A) |
K Global Allocation Fund-A(A) |
|
THB |
18/06/2025 |
12.8625 |
-0.0270 0.2095 % |
13.0555 |
12.8625 |
642,466,556.58 |
|
|
K-GA-A(D) |
K Global Allocation Fund-A(D) |
|
THB |
18/06/2025 |
11.6471 |
-0.0244 0.2091 % |
11.8219 |
11.6471 |
9,253,391,412.38 |
|
|
K-GARMF |
K Global Allocation RMF |
|
THB |
18/06/2025 |
16.8945 |
-0.0359 0.2120 % |
16.8946 |
16.8945 |
2,614,559,673.08 |
|
|
KGB11MC |
K Government Bond 11 Months C Fund |
|
THB |
03/04/2025 |
10.1914 |
-0.0001 0.0010 % |
N/A |
10.1914 |
6,855,604,583.71 |
|
|
KGB11MD |
K Government Bond 11 Months D Fund |
|
THB |
03/04/2025 |
10.1877 |
-0.0001 0.0010 % |
N/A |
10.1877 |
3,908,885,846.16 |
|
|
KGB1YAA |
K Government Bond 1 Year AA Fund |
|
THB |
30/05/2025 |
10.1081 |
+0.0116 0.1149 % |
N/A |
N/A |
2,889,123,793.61 |
|
|
K-GB1YAB |
K Government Bond 1 Year AB Fund |
|
THB |
30/05/2025 |
10.0852 |
+0.0128 0.1271 % |
N/A |
N/A |
4,600,594,745.86 |
|
|
K-GB1YAC |
K Government Bond 1 Year AC Fund |
|
THB |
30/05/2025 |
10.0854 |
+0.0082 0.0814 % |
N/A |
N/A |
2,539,476,685.36 |
|
|
K-GB1YAD |
K Government Bond 1 Year AD Fund |
|
THB |
30/05/2025 |
10.0676 |
+0.0144 0.1432 % |
N/A |
N/A |
3,324,732,977.00 |
|
|
KGB1YO |
K Government Bond 1 Year O Fund |
|
THB |
19/06/2025 |
10.2025 |
-0.0002 0.0020 % |
N/A |
10.2025 |
4,393,432,032.48 |
|
|
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 |
03/04/2025 |
10.2030 |
-0.0001 0.0010 % |
N/A |
10.2030 |
5,003,049,795.32 |
|
|
KGB1YU |
K Government Bond 1 Year U Fund |
|
THB |
08/05/2025 |
10.1995 |
-0.0002 0.0020 % |
N/A |
10.1995 |
3,539,145,024.75 |
|
|
KGB1YV |
K Government Bond 1 Year V Fund |
|
THB |
30/05/2025 |
10.1896 |
+0.0117 0.1150 % |
N/A |
N/A |
5,140,482,613.87 |
|
|
KGB1YW |
K Government Bond 1 Year W Fund |
|
THB |
30/05/2025 |
10.1609 |
+0.0136 0.1340 % |
N/A |
N/A |
4,299,922,446.64 |
|
|
KGB1YX |
K Government Bond 1 Year X Fund |
|
THB |
30/05/2025 |
10.1756 |
+0.0121 0.1191 % |
N/A |
N/A |
3,123,143,162.64 |
|
|
KGB1YY |
K Government Bond 1 Year Y Fund |
|
THB |
30/05/2025 |
10.1518 |
+0.0127 0.1253 % |
N/A |
N/A |
4,099,186,569.34 |
|
|
KGB1YZ |
K Government Bond 1 Year Z Fund |
|
THB |
30/05/2025 |
10.1325 |
+0.0145 0.1433 % |
N/A |
N/A |
4,561,163,471.08 |
|
|
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 |
26/03/2025 |
10.0951 |
-0.0001 0.0010 % |
N/A |
10.0951 |
6,528,119,579.88 |
|
|
KGB6MBM |
K Government Bond 6 Months BM Fund |
|
THB |
09/04/2025 |
10.0946 |
-0.0001 0.0010 % |
N/A |
10.0946 |
7,107,151,509.31 |
|
|
KGB6MBN |
K Government Bond 6 Months BN Fund |
|
THB |
23/04/2025 |
10.0984 |
-0.0001 0.0010 % |
N/A |
10.0984 |
3,172,698,519.90 |
|
|
KGB6MBO |
K Government Bond 6 Months BO Fund |
|
THB |
23/04/2025 |
10.0887 |
-0.0001 0.0010 % |
N/A |
10.0887 |
4,311,781,115.68 |
|
|
KGB6MBP |
K Government Bond 6 Months BP Fund |
|
THB |
07/05/2025 |
10.0924 |
+0.0000 0.0000 % |
N/A |
10.0924 |
8,828,860,359.90 |
|
|
KGB6MBQ |
K Government Bond 6 Months BQ Fund |
|
THB |
21/05/2025 |
10.0927 |
-0.0001 0.0010 % |
N/A |
10.0927 |
8,853,215,993.65 |
|
|
KGB6MBR |
K Government Bond 6 Months BR Fund |
|
THB |
04/06/2025 |
10.0920 |
+0.0021 0.0208 % |
N/A |
10.0920 |
8,134,106,555.78 |
|
|
KGB6MBS |
K Government Bond 6 Months BS Fund |
|
THB |
18/06/2025 |
10.0846 |
-0.0001 0.0010 % |
N/A |
10.0846 |
7,353,212,967.19 |
|
|
K-GB6MBT |
K Government Bond 6 Months BT Fund |
|
THB |
30/05/2025 |
10.0705 |
+0.0135 0.1342 % |
N/A |
N/A |
4,785,994,580.38 |
|
|
K-GB6MBU |
K Government Bond 6 Months BU Fund |
|
THB |
30/05/2025 |
10.0639 |
+0.0122 0.1214 % |
N/A |
N/A |
8,447,780,922.71 |
|
|
K-GB6MBV |
K Government Bond 6 Months BV Fund |
|
THB |
30/05/2025 |
10.0634 |
+0.0110 0.1094 % |
N/A |
N/A |
8,875,469,423.47 |
|
|
K-GB6MBW |
K Government Bond 6 Months BW Fund |
|
THB |
30/05/2025 |
10.0585 |
+0.0112 0.1115 % |
N/A |
N/A |
7,854,026,019.68 |
|
|
K-GB6MBX |
K Government Bond 6 Months BX Fund |
|
THB |
30/05/2025 |
10.0548 |
+0.0125 0.1245 % |
N/A |
N/A |
7,427,736,677.20 |
|
|
K-GB6MBY |
K Government Bond 6 Months BY Fund |
|
THB |
30/05/2025 |
10.0442 |
+0.0128 0.1276 % |
N/A |
N/A |
7,357,440,653.95 |
|
|
K-GB6MBZ |
K Government Bond 6 Months BZ Fund |
|
THB |
30/05/2025 |
10.0393 |
+0.0138 0.1376 % |
N/A |
N/A |
7,339,896,819.06 |
|
|
K-GB6MCA |
K Government Bond 6 Months CA Fund |
|
THB |
30/05/2025 |
10.0214 |
+0.0130 0.1299 % |
N/A |
N/A |
7,080,952,283.12 |
|
|
K-GB6MCB |
K Government Bond 6 Months CB Fund |
|
THB |
30/05/2025 |
10.0168 |
+0.0145 0.1450 % |
N/A |
N/A |
7,268,884,601.34 |
|
|
K-GB6MCC |
K Government Bond 6 Months CC Fund |
|
THB |
30/05/2025 |
10.0077 |
0.0000 0.0000 % |
N/A |
N/A |
6,456,964,201.17 |
|
|
K-GB6MCD |
K Government Bond 6 Months CD Fund |
|
THB |
30/05/2025 |
10.0008 |
0.0000 0.0000 % |
N/A |
N/A |
5,139,190,431.44 |
|
|
K-GB-A(D) |
K Global Bond Fund-A(D) |
|
THB |
18/06/2025 |
9.0618 |
+0.0089 0.0983 % |
9.1072 |
9.0618 |
921,205,113.69 |
|
|
K-GB-C(A) |
K Global Bond Fund-C(A) |
|
THB |
18/06/2025 |
9.0792 |
+0.0089 0.0981 % |
9.0793 |
9.0792 |
153,214,398.79 |
|
|
K-GBRMF |
K Government Bond RMF |
|
THB |
19/06/2025 |
15.8311 |
+0.0103 0.0651 % |
15.8312 |
15.8311 |
12,533,325,448.35 |
|
|
K-GDBOND-A(A) |
K Global Dynamic Bond Fund-A(A) |
recommend |
THB |
18/06/2025 |
8.8990 |
+0.0050 0.0562 % |
8.9436 |
8.8990 |
2,723,281,297.18 |
|
|
K-GDBONDRMF |
K Global Dynamic Bond RMF |
|
THB |
18/06/2025 |
9.9632 |
+0.0037 0.0372 % |
9.9633 |
9.9632 |
4,255,514.96 |
|
|
K-GDRMF |
K Gold RMF |
|
THB |
18/06/2025 |
23.8968 |
+0.0108 0.0452 % |
23.8969 |
23.8968 |
7,205,849,401.00 |
|
|
K-GEMO |
K Global Emerging Market Opportunities Fund |
|
THB |
18/06/2025 |
9.7601 |
-0.0283 0.2891 % |
9.9066 |
9.7601 |
631,037,862.80 |
|
|
K-GHEALTH |
K Global Healthcare Equity Fund |
recommend |
THB |
18/06/2025 |
9.8247 |
-0.1077 1.0843 % |
9.9722 |
9.8247 |
3,001,522,521.19 |
|
|
K-GHEALTH(UH) |
K Global Healthcare Equity Unhedged Fund |
recommend |
THB |
18/06/2025 |
9.3390 |
-0.0985 1.0437 % |
9.4792 |
9.3390 |
722,177,173.54 |
|
|
K-GHRMF |
K Global Healthcare Equity RMF |
|
THB |
18/06/2025 |
11.9669 |
-0.1303 1.0771 % |
11.9670 |
11.9669 |
2,759,017,182.10 |
|
|
K-GIFRMF |
K Global Infrastructure Equity RMF |
|
THB |
18/06/2025 |
13.1831 |
+0.0038 0.0288 % |
13.1832 |
13.1831 |
408,250,491.43 |
|
|
K-GINCOME-A(A) |
K Global Income Fund-A(A) |
|
THB |
18/06/2025 |
12.3983 |
+0.0050 0.0403 % |
12.5844 |
12.3983 |
2,958,946,501.58 |
|
|
K-GINCOME-A(R) |
K Global Income Fund-A(R) |
|
THB |
18/06/2025 |
12.3827 |
+0.0049 0.0396 % |
12.5685 |
12.3827 |
3,564,482,371.20 |
|
|
K-GINCOMERMF |
K Global Income RMF |
|
THB |
18/06/2025 |
10.8754 |
+0.0043 0.0396 % |
10.8755 |
10.8754 |
559,708,008.43 |
|
|
K-GINCOME-SSF |
K Global Income Fund-SSF |
|
THB |
18/06/2025 |
11.9911 |
+0.0049 0.0409 % |
11.9912 |
11.9911 |
2,645,044,123.10 |
|
|
K-GINFRA-A(D) |
K Global Infrastructure Equity Fund-A(D) |
recommend |
THB |
18/06/2025 |
10.2397 |
+0.0030 0.0293 % |
10.3934 |
10.2397 |
758,543,617.55 |
|
|
K-GINFRA-C(A) |
K Global Infrastructure Equity Fund-C(A) |
recommend |
THB |
18/06/2025 |
10.1597 |
+0.0030 0.0295 % |
10.1598 |
10.1597 |
15,053,868.18 |
|
|
K-GLOBE |
K Global Equity Fund |
|
THB |
18/06/2025 |
11.5727 |
-0.0053 0.0458 % |
11.7464 |
11.5727 |
12,708,687,386.21 |
|
|
KGLTF-A(D) |
K Growth LTF-A(D) |
|
THB |
19/06/2025 |
10.2239 |
-0.3301 3.1277 % |
10.3262 |
10.2239 |
1,477,349.84 |
|
|
KGLTF-C(L) |
K Growth LTF-C(L) |
|
THB |
19/06/2025 |
9.6999 |
-0.3132 3.1279 % |
9.7000 |
9.6999 |
1,822,846,428.50 |
|
|
K-GOLD-A(A) |
K Gold Fund-A(A) |
recommend |
THB |
18/06/2025 |
18.7572 |
+0.0088 0.0469 % |
18.7761 |
18.7384 |
3,548,865,536.53 |
|
|
K-GOLD-A(D) |
K Gold Fund-A(D) |
recommend |
THB |
18/06/2025 |
14.5542 |
+0.0068 0.0467 % |
14.5689 |
14.5396 |
7,257,114,438.06 |
|
|
K-GPA22A-UI |
K Global Private Asset 22A Fund Not for Retail Investors |
|
THB |
31/03/2025 |
9.8485 |
+0.0230 0.2341 % |
N/A |
N/A |
1,042,189,641.40 |
|
|
K-GPC-UI |
K Global Private Credit Fund Not for Retail Investors |
|
THB |
01/04/2025 |
10.2229 |
+0.1725 1.7163 % |
10.3763 |
10.2229 |
600,378,791.54 |
|
|
K-GPE19A-UI |
K Global Private Equity 19A Fund Not for Retail Investors |
|
THB |
31/03/2025 |
13.6325 |
+0.0669 0.4932 % |
N/A |
N/A |
3,450,576,260.10 |
|
|
K-GPE22B-UI |
K Global Private Equity 22B Fund Not for Retail Investors |
|
THB |
31/03/2025 |
11.0555 |
-0.0748 0.6720 % |
N/A |
N/A |
3,160,845,039.44 |
|
|
K-GPEQ-UI |
K Global Private Equity Fund Not for Retail Investors |
|
THB |
02/05/2025 |
10.2333 |
-0.1010 0.9773 % |
10.4381 |
N/A |
1,093,019,568.19 |
|
|
K-GPINUH-A(A) |
K Global Equity Premium Income Unhedged Fund-A(A) |
recommend |
THB |
18/06/2025 |
9.9429 |
-0.0035 0.0352 % |
10.0424 |
9.9429 |
956,878,387.42 |
|
|
K-GPINUH-A(R) |
K Global Equity Premium Income Unhedged Fund-A(R) |
recommend |
THB |
18/06/2025 |
9.9417 |
-0.0035 0.0352 % |
10.0412 |
9.9417 |
706,126,928.67 |
|
|
K-GPINUH-C(A) |
K Global Equity Premium Income Unhedged Fund-C(A) |
recommend |
THB |
18/06/2025 |
9.9522 |
-0.0035 0.0352 % |
9.9523 |
9.9522 |
71,087,399.96 |
|
|
K-GPROP-A(A) |
K Global Property Equity Fund-A(A) |
|
THB |
18/06/2025 |
8.0298 |
-0.0171 0.2125 % |
8.1503 |
8.0298 |
91,735,885.25 |
|
|
K-GPROP-A(D) |
K Global Property Equity Fund-A(D) |
|
THB |
18/06/2025 |
7.5214 |
-0.0160 0.2123 % |
7.6343 |
7.5214 |
237,603,023.84 |
|
|
K-GSELECT |
K Global Select Equity Fund |
recommend |
THB |
18/06/2025 |
10.2184 |
+0.0064 0.0627 % |
10.3718 |
10.2184 |
1,669,482,481.56 |
|
|
K-GSELECTRMF |
K Global Select Equity RMF |
|
THB |
18/06/2025 |
10.1424 |
+0.0058 0.0572 % |
10.1425 |
10.1424 |
130,522,923.91 |
|
|
K-GSELECTU-A(A) |
K Global Select Equity Unhedged Fund-A(A) |
recommend |
THB |
18/06/2025 |
9.8211 |
+0.0117 0.1193 % |
9.9685 |
9.8211 |
2,117,737,696.42 |
|
|
K-GSELECTU-C(A) |
K Global Select Equity Unhedged Fund-C(A) |
|
THB |
18/06/2025 |
9.8391 |
+0.0119 0.1211 % |
9.8392 |
9.8391 |
280,204,743.91 |
|
|
K-GSTEPA |
K Guaranteed Step-up A Fund |
|
THB |
17/06/2025 |
10.1966 |
+0.0014 0.0137 % |
N/A |
10.1966 |
1,708,203,857.85 |
|
|
K-GSTEPB |
K Guaranteed Step-up B Fund |
|
THB |
17/06/2025 |
10.1435 |
-0.0104 0.1024 % |
N/A |
10.1435 |
934,391,078.21 |
|
|
K-GTECH |
K Global Technology Equity Fund |
recommend |
THB |
17/06/2025 |
13.3496 |
-0.1214 0.9012 % |
13.5499 |
13.3496 |
1,081,530,115.62 |
|
|
K-GTECHRMF |
K Global Technology Equity RMF |
|
THB |
17/06/2025 |
12.7500 |
-0.1155 0.8977 % |
12.7501 |
12.7500 |
617,437,989.27 |
|
|
K-GTPE20A-UI |
K Global Tech PE 20A Fund Not for Retail Investors |
|
THB |
31/03/2025 |
9.7954 |
-0.1130 1.1404 % |
N/A |
N/A |
1,788,342,852.93 |
|
|
K-GVC23A-UI |
K Global VC PE 23A Fund Not for Retail Investors |
|
THB |
31/03/2025 |
10.3216 |
-0.0281 0.2715 % |
N/A |
N/A |
1,250,355,180.90 |
|
|
K-HDThaiESGX-68 |
K High Dividend Stock Thailand ESG Extra Fund-68 |
recommend |
THB |
19/06/2025 |
9.2495 |
-0.1894 2.0066 % |
9.2496 |
9.2495 |
190,745,056.88 |
|
|
K-HDThaiESGX-L |
K High Dividend Stock Thailand ESG Extra Fund-L |
recommend |
THB |
19/06/2025 |
9.2496 |
-0.1893 2.0055 % |
9.2497 |
9.2496 |
724,761,641.18 |
|
|
K-HIT-A(A) |
K Global High Impact Thematic Equity Fund-A(A) |
|
THB |
18/06/2025 |
14.7680 |
-0.0535 0.3610 % |
14.9896 |
14.7680 |
900,176,785.91 |
|
|
K-ICT |
K ICT Sector Index Fund |
|
THB |
19/06/2025 |
11.8498 |
-0.3401 2.7900 % |
11.8617 |
11.8380 |
182,762,078.57 |
|
|
K-INDIA-A(A) |
K India Equity Fund-A(A) |
recommend |
THB |
18/06/2025 |
13.0195 |
-0.0678 0.5181 % |
13.2149 |
13.0195 |
1,227,724,918.82 |
|
|
K-INDIA-A(D) |
K India Equity Fund-A(D) |
recommend |
THB |
18/06/2025 |
11.8176 |
-0.0616 0.5186 % |
11.9950 |
11.8176 |
1,884,968,334.71 |
|
|
K-INDIARMF |
K India Equity RMF |
recommend |
THB |
18/06/2025 |
10.8362 |
-0.0561 0.5150 % |
10.8363 |
10.8362 |
335,984,654.58 |
|
|
K-INDX |
K Indian Equity Index Fund |
recommend |
THB |
18/06/2025 |
16.1892 |
-0.0294 0.1813 % |
16.2055 |
16.1649 |
595,357,698.80 |
|
|
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 |
10/04/2025 |
10.1009 |
-0.5464 5.1318 % |
N/A |
10.1009 |
2,686,964,533.47 |
|
|
K-JG6MK |
K Japanese Government Bond 6MK Fund |
|
THB |
30/05/2025 |
10.1496 |
+0.1234 1.2308 % |
N/A |
N/A |
5,214,987,646.36 |
|
|
K-JP-A(D) |
K Japan Equity Fund-A(D) |
|
THB |
17/06/2025 |
10.3974 |
+0.0314 0.3029 % |
10.5535 |
10.3974 |
1,553,590,120.88 |
|
|
K-JPRMF |
K Japan Equity RMF |
|
THB |
17/06/2025 |
18.2835 |
+0.0549 0.3012 % |
18.2836 |
18.2835 |
591,306,028.43 |
|
|
K-JPX-A(A) |
K Japanese Equity Index Fund-A(A) |
|
THB |
18/06/2025 |
22.6791 |
+0.2151 0.9575 % |
22.7019 |
22.6451 |
703,802,220.22 |
|
|
K-JPX-C(A) |
K Japanese Equity Index Fund-C(A) |
|
THB |
18/06/2025 |
23.2220 |
+0.2204 0.9582 % |
23.2453 |
23.2220 |
100,310,330.68 |
|
|
K-MIDSMALL |
K Mid Small Cap Equity Fund |
|
THB |
19/06/2025 |
8.8769 |
-0.4178 4.4950 % |
8.9658 |
8.8769 |
253,157,284.46 |
|
|
K-MONEY |
K Money Market Fund |
|
THB |
19/06/2025 |
12.7677 |
+0.0016 0.0125 % |
12.7678 |
12.7677 |
21,385,903,943.64 |
|
|
KMSLTF-A(A) |
K Mid Small Cap LTF-A(A) |
|
THB |
19/06/2025 |
6.8653 |
-0.3205 4.4602 % |
6.9341 |
6.8653 |
636,106.73 |
|
|
KMSLTF-C(L) |
K Mid Small Cap LTF-C(L) |
|
THB |
19/06/2025 |
6.9331 |
-0.3236 4.4593 % |
6.9332 |
6.9331 |
339,030,518.57 |
|
|
K-MSRMF |
K Mid Small Cap Equity RMF |
|
THB |
19/06/2025 |
9.3660 |
-0.4450 4.5357 % |
9.3661 |
9.3660 |
2,082,797,624.67 |
|
|
K-MVEQ |
K Minimum Volatility Quantitative Equity Fund |
|
THB |
19/06/2025 |
8.4814 |
-0.2149 2.4712 % |
8.5663 |
8.4814 |
46,055,652.96 |
|
|
KMVLTF-A(A) |
K Minimum Volatility Quantitative LTF-A(A) |
|
THB |
19/06/2025 |
8.3168 |
-0.2241 2.6238 % |
8.4001 |
8.3168 |
538,627.31 |
|
|
KMVLTF-C(L) |
K Minimum Volatility Quantitative LTF-C(L) |
|
THB |
19/06/2025 |
8.3601 |
-0.2253 2.6242 % |
8.3602 |
8.3601 |
86,437,363.35 |
|
|
K-OIL |
K Oil Fund |
|
THB |
18/06/2025 |
5.5146 |
+0.0068 0.1235 % |
5.5202 |
5.5063 |
1,142,815,376.27 |
|
|
K-PLAN1 |
K Plan 1 Fund |
recommend |
THB |
19/06/2025 |
14.3029 |
+0.0072 0.0504 % |
14.3030 |
14.3029 |
15,913,368,935.52 |
|
|
K-PLAN2 |
K Plan 2 Fund |
|
THB |
19/06/2025 |
16.7630 |
-0.0333 0.1983 % |
16.8469 |
16.7630 |
1,476,278,024.79 |
|
|
K-PLAN3 |
K Plan 3 Fund |
|
THB |
19/06/2025 |
19.4753 |
-0.1106 0.5647 % |
19.5728 |
19.4753 |
1,380,746,673.23 |
|
|
K-PLANET-A(A) |
K Planetary Transition Fund-A(A) |
|
THB |
17/06/2025 |
11.3335 |
-0.0911 0.7974 % |
11.5036 |
11.3335 |
1,051,539,735.75 |
|
|
K-PLANETRMF |
K Planetary Transition RMF |
|
THB |
17/06/2025 |
11.2092 |
-0.0906 0.8018 % |
11.2093 |
11.2092 |
27,632,003.08 |
|
|
K-PROPI-A(D) |
K Property Infrastructure Flexible Fund-A(D) |
recommend |
THB |
19/06/2025 |
8.1621 |
-0.0579 0.7044 % |
8.2438 |
8.1621 |
8,885,189,581.88 |
|
|
K-PROPIRMF |
K Property Infrastructure Flexible RMF |
|
THB |
19/06/2025 |
8.3636 |
-0.0584 0.6934 % |
8.3637 |
8.3636 |
465,541,052.13 |
|
|
KPVDEQ |
K Equity Fund for PVD |
|
THB |
19/06/2025 |
7.2581 |
-0.2442 3.2550 % |
7.2582 |
7.2581 |
1,102,887,699.69 |
|
|
KPVDFI |
K Fixed Income Fund for PVD |
|
THB |
19/06/2025 |
11.6467 |
+0.0085 0.0730 % |
11.6468 |
11.6467 |
2,358,515,119.20 |
|
|
KPVDSF |
K Short Term Fixed Income Fund for PVD |
|
THB |
19/06/2025 |
11.1956 |
+0.0029 0.0259 % |
11.1957 |
11.1956 |
685,479,429.85 |
|
|
KS50LTF-A(A) |
K SET50 LTF-A(A) |
|
THB |
19/06/2025 |
9.1213 |
-0.2286 2.4449 % |
9.1305 |
9.1122 |
8,946,593.20 |
|
|
KS50LTF-C(L) |
K SET50 LTF-C(L) |
|
THB |
19/06/2025 |
9.0239 |
-0.2262 2.4454 % |
9.0240 |
9.0239 |
689,828,169.06 |
|
|
K-S50RMF |
K SET50 RMF |
|
THB |
19/06/2025 |
9.8689 |
-0.2512 2.4822 % |
9.8690 |
9.8689 |
2,851,152,687.08 |
|
|
KSDLTF |
K Strategic Defensive LTF |
|
THB |
19/06/2025 |
8.9635 |
-0.0243 0.2704 % |
N/A |
8.8290 |
158,795,455.22 |
|
|
K-SELECT |
K Select Equity Fund |
|
THB |
19/06/2025 |
4.1732 |
-0.1195 2.7838 % |
4.2150 |
4.1732 |
287,692,181.36 |
|
|
K-SEMQ |
K Selective Emerging Markets Equity Fund |
|
THB |
18/06/2025 |
11.7355 |
+0.0145 0.1237 % |
11.9116 |
11.7355 |
1,278,584,705.68 |
|
|
K-SET50 |
K SET 50 Index Fund |
|
THB |
19/06/2025 |
25.9341 |
-0.6594 2.4796 % |
25.9601 |
25.9082 |
5,410,202,056.76 |
|
|
K-SF-A |
K Short Term Fixed Income Fund-A |
recommend |
THB |
19/06/2025 |
11.8557 |
+0.0019 0.0160 % |
11.8558 |
11.8557 |
233,272,361,391.56 |
|
|
K-SFPLUS-A |
K SF Plus Fund-A |
recommend |
THB |
19/06/2025 |
11.3928 |
+0.0025 0.0219 % |
11.3929 |
11.3928 |
138,730,923,394.76 |
|
|
K-SFPLUS-Z |
K SF Plus Fund-Z |
|
THB |
19/06/2025 |
11.3993 |
+0.0026 0.0228 % |
11.3994 |
11.3993 |
63,980,277.64 |
|
|
K-SFRMF |
K Short Term Fixed Income RMF |
|
THB |
19/06/2025 |
15.0324 |
+0.0039 0.0260 % |
15.0325 |
15.0324 |
12,627,875,577.09 |
|
|
K-SF-SSF |
K Short Term Fixed Income Fund-SFF |
|
THB |
19/06/2025 |
11.8474 |
+0.0019 0.0160 % |
11.8475 |
11.8474 |
1,127,105,297.04 |
|
|
K-SF-Z |
K Short Term Fixed Income Fund-Z |
|
THB |
19/06/2025 |
11.8624 |
+0.0021 0.0177 % |
11.8625 |
11.8624 |
892,192.19 |
|
|
KSG6MA |
K Singapore Government Bond 6MA Fund |
|
THB |
16/04/2025 |
10.1009 |
-0.0752 0.7390 % |
N/A |
10.1009 |
3,972,244,044.02 |
|
|
K-SGM |
K Strategic Global Multi-Asset Fund |
|
THB |
17/06/2025 |
10.1038 |
+0.0057 0.0564 % |
10.1797 |
10.1038 |
391,230,741.92 |
|
|
K-STAR-A(A) |
K STAR Equity Fund-A(A) |
|
THB |
19/06/2025 |
27.5454 |
-0.9256 3.2510 % |
27.6832 |
27.5454 |
1,173,564,122.16 |
|
|
K-STAR-A(R) |
K STAR Equity Fund-A(R) |
|
THB |
19/06/2025 |
27.5184 |
-0.9246 3.2507 % |
27.6561 |
27.5184 |
1,087,610,815.98 |
|
|
K-STAR-C(A) |
K STAR Equity Fund-C(A) |
|
THB |
19/06/2025 |
27.0900 |
-0.9102 3.2507 % |
27.0901 |
27.0900 |
7,462.46 |
|
|
K-STAR-I(D) |
K STAR Equity Fund-I(D) |
|
THB |
19/06/2025 |
27.5905 |
-0.9269 3.2503 % |
27.7286 |
27.5905 |
769.76 |
|
|
K-STARRMF |
K STAR Equity RMF |
|
THB |
19/06/2025 |
21.2911 |
-0.7202 3.2720 % |
21.2912 |
21.2911 |
7,320,999,590.21 |
|
|
K-STAR-SSF |
K STAR Equity Fund-SSF |
|
THB |
19/06/2025 |
27.6991 |
-0.9306 3.2505 % |
27.6992 |
27.6991 |
1,099,405,678.08 |
|
|
K-STEQ-A(A) |
K Strategic Trading Equity Fund-A(A) |
|
THB |
19/06/2025 |
28.1149 |
-0.8222 2.8413 % |
28.3962 |
28.1149 |
265,015,079.17 |
|
|
K-STEQ-C(A) |
K Strategic Trading Equity Fund-C(A) |
|
THB |
19/06/2025 |
26.4391 |
-0.7733 2.8417 % |
26.4392 |
26.4391 |
7,752.25 |
|
|
K-SUPSTAR-SSFX |
K Superstar Super Savings Fund Extra |
|
THB |
19/06/2025 |
7.5317 |
-0.2512 3.2276 % |
7.5318 |
7.5317 |
1,471,414,383.51 |
|
|
K-TFT6 |
K Thai Flexible Trigger 6 Fund |
|
THB |
19/06/2025 |
7.0895 |
-0.1341 1.8564 % |
N/A |
7.0895 |
177,042,283.94 |
|
|
K-THAICGRMF |
K Thai Equity CG RMF |
|
THB |
19/06/2025 |
7.9351 |
-0.2427 2.9678 % |
7.9352 |
7.9351 |
308,709,010.62 |
|
|
K-THRE24A-UI |
K Thailand Real Estate 24A Fund Not for Retail Investors |
|
THB |
31/03/2025 |
9.6508 |
-0.2791 2.8107 % |
N/A |
N/A |
1,130,172,568.58 |
|
|
K-TNZ-A(A) |
K Target Net Zero Thai Equity Fund-A(A) |
|
THB |
19/06/2025 |
8.0715 |
-0.2135 2.5769 % |
8.0716 |
8.0715 |
115,306,621.03 |
|
|
K-TNZ-ThaiESG |
K Target Net Zero Thai Equity Fund-ThaiESG |
recommend |
THB |
19/06/2025 |
8.0701 |
-0.2134 2.5762 % |
8.0702 |
8.0701 |
2,885,929,671.02 |
|
|
K-TREASURY |
K Treasury Fund |
|
THB |
19/06/2025 |
13.7264 |
+0.0005 0.0036 % |
13.7265 |
13.7264 |
35,153,536,862.16 |
|
|
K-US500X-A(A) |
K US Equity Passive Fund-A(A) |
|
THB |
18/06/2025 |
12.8315 |
-0.0028 0.0218 % |
12.8444 |
12.8123 |
5,143,161,703.68 |
|
|
K-US500X-C(A) |
K US Equity Passive Fund-C(A) |
|
THB |
18/06/2025 |
12.9201 |
-0.0028 0.0217 % |
12.9331 |
12.9201 |
24,923,831.34 |
|
|
K-US500XRMF |
K US Equity Passive RMF |
|
THB |
18/06/2025 |
10.4533 |
-0.0020 0.0191 % |
10.4534 |
10.4533 |
423,532,579.19 |
|
|
K-USA-A(A) |
K USA Equity Fund-A(A) |
recommend |
THB |
17/06/2025 |
17.6191 |
-0.1071 0.6042 % |
17.8835 |
17.6191 |
3,782,687,634.95 |
|
|
K-USA-A(D) |
K USA Equity Fund-A(D) |
recommend |
THB |
17/06/2025 |
13.0469 |
-0.0793 0.6041 % |
13.2427 |
13.0469 |
6,418,581,962.84 |
|
|
K-USARMF |
K USA Equity RMF |
|
THB |
17/06/2025 |
7.0024 |
-0.0430 0.6103 % |
7.0025 |
7.0024 |
1,688,243,146.00 |
|
|
K-USA-SSF |
K USA Equity Fund-SSF |
|
THB |
17/06/2025 |
16.4352 |
-0.0999 0.6042 % |
16.4353 |
16.4352 |
1,070,172,763.54 |
|
|
K-USXNDQ-A(A) |
K US Equity NDQ 100 Index Fund-A(A) |
|
THB |
18/06/2025 |
37.0056 |
+0.0022 0.0059 % |
37.0427 |
36.9501 |
4,771,647,786.83 |
|
|
K-USXNDQ-A(D) |
K US Equity NDQ 100 Index Fund-A(D) |
|
THB |
18/06/2025 |
24.9242 |
+0.0015 0.0060 % |
24.9492 |
24.8868 |
6,705,901,090.46 |
|
|
K-USXNDQRMF |
K US Equity NDQ 100 Index RMF |
|
THB |
18/06/2025 |
10.9541 |
+0.0006 0.0055 % |
10.9542 |
10.9541 |
372,849,250.46 |
|
|
K-VALUE |
K Valued Stock Fund |
recommend |
THB |
19/06/2025 |
4.7671 |
-0.1002 2.0586 % |
4.8149 |
4.7671 |
1,877,822,390.27 |
|
|
K-VIETNAM |
K Vietnam Equity Fund |
recommend |
THB |
18/06/2025 |
12.3039 |
-0.0387 0.3135 % |
12.4886 |
12.3039 |
10,204,457,314.44 |
|
|
K-VIETNAMRMF |
K Vietnam Equity RMF |
|
THB |
18/06/2025 |
8.7638 |
-0.0242 0.2754 % |
8.7639 |
8.7638 |
2,397,523,503.00 |
|
|
K-VIETNAM-SSF |
K Vietnam Equity SSF |
|
THB |
18/06/2025 |
11.0180 |
-0.0302 0.2733 % |
11.0181 |
11.0180 |
1,231,212,089.55 |
|
|
K-WORLDX |
K Global Equity Passive Fund |
|
THB |
18/06/2025 |
14.4602 |
+0.0050 0.0346 % |
14.4748 |
14.4385 |
3,905,488,320.21 |
|
|
K-WORLDXRMF |
K Global Equity Passive RMF |
|
THB |
18/06/2025 |
10.6100 |
+0.0008 0.0075 % |
10.6101 |
10.6100 |
40,417,536.86 |
|
|
K-WPBALANCED |
K WealthPLUS Balanced Fund |
recommend |
THB |
18/06/2025 |
9.8883 |
-0.0054 0.0546 % |
9.9378 |
9.8883 |
18,508,482,783.10 |
|
|
K-WPBALRMF |
K WealthPLUS Balanced RMF |
|
THB |
18/06/2025 |
10.7939 |
-0.0060 0.0556 % |
10.7940 |
10.7939 |
1,167,033,288.49 |
|
|
K-WPLIGHT |
K WealthPLUS Light Fund |
recommend |
THB |
18/06/2025 |
10.0965 |
-0.0011 0.0109 % |
10.1471 |
10.0965 |
5,467,626,159.59 |
|
|
K-WPSPARK |
K WealthPLUS Spark Fund |
recommend |
THB |
18/06/2025 |
9.8928 |
-0.0108 0.1091 % |
9.9424 |
9.8928 |
1,375,482,273.91 |
|
|
K-WPSPEEDRMF |
K WealthPLUS SpeedUp RMF |
|
THB |
18/06/2025 |
10.1449 |
-0.0171 0.1683 % |
10.1450 |
10.1449 |
134,868,934.08 |
|
|
K-WPSPEEDUP |
K WealthPLUS SpeedUp Fund |
recommend |
THB |
18/06/2025 |
9.2390 |
-0.0157 0.1696 % |
9.2853 |
9.2390 |
12,839,527,987.05 |
|
|
K-WPULTIMATE |
K WealthPLUS Ultimate Fund |
recommend |
THB |
18/06/2025 |
9.3986 |
-0.0220 0.2335 % |
9.4457 |
9.3986 |
5,157,309,564.74 |
|
|
K-WPULTIRMF |
K WealthPLUS Ultimate RMF |
|
THB |
18/06/2025 |
10.6623 |
-0.0253 0.2367 % |
10.6624 |
10.6623 |
309,266,632.68 |
|
|
RKBC |
The Ruang Khao Balanced Class |
|
THB |
19/06/2025 |
22.6437 |
-0.4844 2.0944 % |
22.7570 |
22.5305 |
140,265,615.43 |
|
|
RKF4 |
The Ruang Khao 4 Fund |
|
THB |
19/06/2025 |
4.2288 |
-0.1389 3.1802 % |
4.2712 |
4.2288 |
159,596,922.02 |
|
|