ABFTH |
The ABF Thailand Bond Index Fund |
|
THB |
01/07/2025 |
1,397.3049 |
+3.5694 0.2561 % |
N/A |
N/A |
12,301,239,996.07 |
|
|
K-AB22A |
K Fixed Income AB 2022A Fund |
|
THB |
01/07/2025 |
10.1799 |
+0.0076 0.0747 % |
N/A |
10.1799 |
690,980,805.40 |
|
|
K-AB22B |
K Fixed Income AB 2022B Fund |
|
THB |
01/07/2025 |
9.9802 |
+0.0070 0.0702 % |
N/A |
9.9802 |
319,037,273.83 |
|
|
K-AHY |
K Asia High Yield Bond Fund |
|
THB |
27/06/2025 |
9.8444 |
+0.0306 0.3118 % |
9.8937 |
9.8444 |
1,808,236,843.87 |
|
|
K-AHYA-UI |
K Asia High Yield A Fund Not for Retail Investors |
|
THB |
27/06/2025 |
8.5801 |
+0.0260 0.3039 % |
N/A |
8.5801 |
1,143,136,510.08 |
|
|
K-AHYB-UI |
K Asia High Yield B Fund Not for Retail Investors |
|
THB |
27/06/2025 |
9.7423 |
+0.0291 0.2996 % |
N/A |
9.7423 |
1,218,696,929.78 |
|
|
K-AHYC-UI |
K Asia High Yield C Fund Not for Retail Investors |
|
THB |
27/06/2025 |
9.0167 |
+0.0275 0.3059 % |
N/A |
9.0167 |
963,609,759.65 |
|
|
K-AHYD-UI |
K Asia High Yield D Fund Not for Retail Investors |
|
THB |
27/06/2025 |
10.8651 |
+0.0337 0.3111 % |
N/A |
10.8651 |
576,884,454.72 |
|
|
K-APB-A(A) |
K Asia Pacific Bond Fund-A(A) |
|
THB |
27/06/2025 |
9.7515 |
+0.0226 0.2323 % |
9.8004 |
9.7515 |
3,724,224,710.32 |
|
|
K-APB-C(A) |
K Asia Pacific Bond Fund-C(A) |
|
THB |
27/06/2025 |
9.7595 |
+0.0227 0.2331 % |
9.7596 |
9.7595 |
78,289,928.51 |
|
|
K-CBOND-A |
K Corporate Bond Fund-A |
|
THB |
01/07/2025 |
19.6282 |
+0.0111 0.0566 % |
19.6283 |
19.6282 |
7,002,832,729.89 |
|
|
K-CBOND-Z |
K Corporate Bond Fund-Z |
|
THB |
01/07/2025 |
19.9116 |
+0.0116 0.0583 % |
19.9117 |
19.9116 |
659,489,199.98 |
|
|
K-DFIXED |
K Dynamic Fixed Income Fund |
|
THB |
01/07/2025 |
10.8667 |
+0.0076 0.0700 % |
10.8668 |
10.8667 |
276,864,385.42 |
|
|
K-ESGSI-ThaiESG |
K ESG Sovereign Instruments Fund-ThaiESG |
recommend |
THB |
01/07/2025 |
11.5585 |
+0.0436 0.3786 % |
11.5586 |
11.5585 |
6,346,127,135.43 |
|
|
K-FI22G |
K Fixed Income 2022G Fund |
|
THB |
01/07/2025 |
10.2747 |
+0.0073 0.0711 % |
N/A |
10.2747 |
439,743,239.08 |
|
|
K-FI22H |
K Fixed Income 2022H Fund |
|
THB |
01/07/2025 |
10.2661 |
+0.0075 0.0731 % |
N/A |
10.2661 |
202,258,159.71 |
|
|
K-FI22I |
K Fixed Income 2022I Fund |
|
THB |
01/07/2025 |
10.4162 |
+0.0075 0.0721 % |
N/A |
10.4162 |
466,592,001.97 |
|
|
K-FI22J |
K Fixed Income 2022J Fund |
|
THB |
01/07/2025 |
10.4098 |
+0.0076 0.0731 % |
N/A |
10.4098 |
247,874,459.76 |
|
|
K-FIRMF |
K Fixed Income RMF |
recommend |
THB |
01/07/2025 |
17.3676 |
+0.0170 0.0980 % |
17.3677 |
17.3676 |
15,528,881,267.25 |
|
|
K-FIXED-A |
K Fixed Income Fund-A |
recommend |
THB |
01/07/2025 |
14.0625 |
+0.0124 0.0883 % |
14.0626 |
14.0625 |
176,351,918,214.42 |
|
|
K-FIXEDPLUS-A |
K Fixed Income Plus Fund-A |
recommend |
THB |
01/07/2025 |
11.6549 |
+0.0106 0.0910 % |
11.6550 |
11.6549 |
40,111,948,408.10 |
|
|
K-FIXEDPLUS-SSF |
K Fixed Income Plus Fund-SSF |
|
THB |
01/07/2025 |
11.6466 |
+0.0106 0.0911 % |
11.6467 |
11.6466 |
2,401,506,491.92 |
|
|
K-FIXEDPRO |
K Fixed Income Proactive Fund |
|
THB |
27/06/2025 |
10.3821 |
+0.0067 0.0646 % |
10.3822 |
10.3821 |
757,350,446.13 |
|
|
K-FIXED-Z |
K Fixed Income Fund-Z |
|
THB |
01/07/2025 |
14.2643 |
+0.0128 0.0898 % |
14.2644 |
14.2643 |
3,052,307,776.00 |
|
|
K-GB-A(D) |
K Global Bond Fund-A(D) |
|
THB |
30/06/2025 |
9.1097 |
-0.0008 0.0088 % |
9.1553 |
9.1097 |
908,127,593.08 |
|
|
K-GB-C(A) |
K Global Bond Fund-C(A) |
|
THB |
30/06/2025 |
9.1272 |
-0.0009 0.0099 % |
9.1273 |
9.1272 |
156,774,561.27 |
|
|
K-GBRMF |
K Government Bond RMF |
|
THB |
01/07/2025 |
15.9006 |
+0.0200 0.1259 % |
15.9007 |
15.9006 |
12,581,940,855.17 |
|
|
K-GDBOND-A(A) |
K Global Dynamic Bond Fund-A(A) |
recommend |
THB |
30/06/2025 |
8.9794 |
+0.0205 0.2288 % |
9.0244 |
8.9794 |
4,534,253,479.50 |
|
|
K-GDBONDRMF |
K Global Dynamic Bond RMF |
|
THB |
30/06/2025 |
10.0355 |
+0.0208 0.2077 % |
10.0356 |
10.0355 |
15,729,865.11 |
|
|
K-PLAN1 |
K Plan 1 Fund |
recommend |
THB |
01/07/2025 |
14.3400 |
+0.0078 0.0544 % |
14.3401 |
14.3400 |
16,386,288,316.88 |
|
|
K-SF-A |
K Short Term Fixed Income Fund-A |
recommend |
THB |
01/07/2025 |
11.8609 |
+0.0018 0.0152 % |
11.8610 |
11.8609 |
225,090,297,489.19 |
|
|
K-SFPLUS-A |
K SF Plus Fund-A |
recommend |
THB |
01/07/2025 |
11.4010 |
+0.0022 0.0193 % |
11.4011 |
11.4010 |
137,657,003,846.52 |
|
|
K-SFPLUS-Z |
K SF Plus Fund-Z |
|
THB |
01/07/2025 |
11.4087 |
+0.0023 0.0202 % |
11.4088 |
11.4087 |
64,033,160.99 |
|
|
K-SFRMF |
K Short Term Fixed Income RMF |
|
THB |
01/07/2025 |
15.0521 |
+0.0031 0.0206 % |
15.0522 |
15.0521 |
12,551,537,235.45 |
|
|
K-SF-SSF |
K Short Term Fixed Income Fund-SFF |
|
THB |
01/07/2025 |
11.8525 |
+0.0018 0.0152 % |
11.8526 |
11.8525 |
1,125,727,493.03 |
|
|
K-SF-Z |
K Short Term Fixed Income Fund-Z |
|
THB |
01/07/2025 |
11.8688 |
+0.0019 0.0160 % |
11.8689 |
11.8688 |
892,672.76 |
|
|
K-TREASURY |
K Treasury Fund |
|
THB |
01/07/2025 |
13.7331 |
+0.0006 0.0044 % |
13.7332 |
13.7331 |
33,670,648,789.65 |
|
|