Symbol Fund Currency Date NAV Change Offer Bid Total Net Asset
K-CASH K Cash Management Fund THB 07/02/2025 13.7619 +0.0001
0.0007 %
13.7620 13.7619 55,753,010,015.84
K-FEQ K Flexible Equity Fund THB 07/02/2025 67.4107 +1.0182
1.5336 %
67.4108 66.7366 1,193,733,405.67
KGBRMF K Government Bond RMF THB 07/02/2025 15.4240 +0.0082
0.0532 %
15.4241 15.4240 12,220,068,201.18
K-SUPSTAR-SSFX K Superstar Super Savings Fund Extra THB 07/02/2025 9.2140 +0.1402
1.5451 %
9.2141 9.2140 1,801,510,364.37
K-TNZ-ThaiESG K Target Net Zero Thai Equity Fund-ThaiESG
recommend
THB 07/02/2025 9.5746 +0.1786
1.9008 %
9.5747 9.5746 3,229,358,491.21

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