ABFTH |
The ABF Thailand Bond Index Fund |
|
THB |
28/04/2025 |
1,367.7307 |
+0.9655 0.0706 % |
N/A |
N/A |
11,890,431,924.88 |
|
|
K-AB22A |
K Fixed Income AB 2022A Fund |
|
THB |
28/04/2025 |
10.0720 |
+0.0030 0.0298 % |
N/A |
10.0720 |
749,319,915.36 |
|
|
K-AB22B |
K Fixed Income AB 2022B Fund |
|
THB |
28/04/2025 |
9.8771 |
+0.0029 0.0294 % |
N/A |
9.8771 |
325,761,490.72 |
|
|
K-AHY |
K Asia High Yield Bond Fund |
|
THB |
24/04/2025 |
9.5237 |
+0.0048 0.0504 % |
9.5714 |
9.5237 |
1,768,448,700.87 |
|
|
K-AHYA-UI |
K Asia High Yield A Fund Not for Retail Investors |
|
THB |
24/04/2025 |
8.3040 |
+0.0046 0.0554 % |
N/A |
8.3040 |
1,109,362,095.97 |
|
|
K-AHYB-UI |
K Asia High Yield B Fund Not for Retail Investors |
|
THB |
24/04/2025 |
9.4281 |
+0.0051 0.0541 % |
N/A |
9.4281 |
1,207,935,399.86 |
|
|
K-AHYC-UI |
K Asia High Yield C Fund Not for Retail Investors |
|
THB |
24/04/2025 |
8.7264 |
+0.0046 0.0527 % |
N/A |
8.7264 |
1,007,532,007.28 |
|
|
K-AHYD-UI |
K Asia High Yield D Fund Not for Retail Investors |
|
THB |
24/04/2025 |
10.5108 |
+0.0055 0.0524 % |
N/A |
10.5108 |
567,257,998.81 |
|
|
K-APB-A(A) |
K Asia Pacific Bond Fund-A(A) |
|
THB |
24/04/2025 |
9.5047 |
+0.0039 0.0410 % |
9.5523 |
9.5047 |
3,266,034,408.25 |
|
|
K-APB-C(A) |
K Asia Pacific Bond Fund-C(A) |
|
THB |
24/04/2025 |
9.5097 |
+0.0039 0.0410 % |
9.5098 |
9.5097 |
48,487,467.62 |
|
|
K-CBOND-A |
K Corporate Bond Fund-A |
|
THB |
28/04/2025 |
19.4663 |
+0.0069 0.0355 % |
19.4664 |
19.4663 |
6,454,478,939.83 |
|
|
K-CBOND-Z |
K Corporate Bond Fund-Z |
|
THB |
28/04/2025 |
19.7323 |
+0.0077 0.0390 % |
19.7324 |
19.7323 |
641,677,568.98 |
|
|
K-DFIXED |
K Dynamic Fixed Income Fund |
|
THB |
28/04/2025 |
10.7533 |
+0.0030 0.0279 % |
10.7534 |
10.7533 |
281,844,633.64 |
|
|
K-ESGSI-ThaiESG |
K ESG Sovereign Instruments Fund-ThaiESG |
recommend |
THB |
28/04/2025 |
11.0485 |
+0.0052 0.0471 % |
11.0486 |
11.0485 |
5,384,255,004.10 |
|
|
K-FI22G |
K Fixed Income 2022G Fund |
|
THB |
28/04/2025 |
10.1682 |
+0.0031 0.0305 % |
N/A |
10.1682 |
447,600,578.63 |
|
|
K-FI22H |
K Fixed Income 2022H Fund |
|
THB |
28/04/2025 |
10.1587 |
+0.0029 0.0286 % |
N/A |
10.1587 |
211,642,435.53 |
|
|
K-FI22I |
K Fixed Income 2022I Fund |
|
THB |
28/04/2025 |
10.3060 |
+0.0031 0.0301 % |
N/A |
10.3060 |
470,397,142.46 |
|
|
K-FI22J |
K Fixed Income 2022J Fund |
|
THB |
28/04/2025 |
10.2979 |
+0.0031 0.0301 % |
N/A |
10.2979 |
260,454,725.00 |
|
|
K-FIRMF |
K Fixed Income RMF |
recommend |
THB |
28/04/2025 |
17.1459 |
+0.0084 0.0490 % |
17.1460 |
17.1459 |
14,813,034,277.90 |
|
|
K-FIXED-A |
K Fixed Income Fund-A |
recommend |
THB |
28/04/2025 |
13.8931 |
+0.0042 0.0302 % |
13.8932 |
13.8931 |
121,161,408,306.43 |
|
|
K-FIXEDPLUS-A |
K Fixed Income Plus Fund-A |
recommend |
THB |
28/04/2025 |
11.5102 |
+0.0081 0.0704 % |
11.5103 |
11.5102 |
31,285,128,987.95 |
|
|
K-FIXEDPLUS-SSF |
K Fixed Income Plus Fund-SSF |
|
THB |
28/04/2025 |
11.5020 |
+0.0081 0.0705 % |
11.5021 |
11.5020 |
2,327,443,214.63 |
|
|
K-FIXEDPRO |
K Fixed Income Proactive Fund |
|
THB |
25/04/2025 |
10.2244 |
+0.0177 0.1734 % |
10.2245 |
10.2244 |
834,093,041.93 |
|
|
K-FIXED-Z |
K Fixed Income Fund-Z |
|
THB |
28/04/2025 |
14.0817 |
+0.0047 0.0334 % |
14.0818 |
14.0817 |
3,159,959,708.50 |
|
|
K-GB-A(D) |
K Global Bond Fund-A(D) |
|
THB |
25/04/2025 |
9.1024 |
+0.0162 0.1783 % |
9.1480 |
9.1024 |
930,381,730.77 |
|
|
K-GB-C(A) |
K Global Bond Fund-C(A) |
|
THB |
25/04/2025 |
9.1199 |
+0.0162 0.1779 % |
9.1200 |
9.1199 |
146,501,136.07 |
|
|
K-GBRMF |
K Government Bond RMF |
|
THB |
28/04/2025 |
15.6971 |
+0.0082 0.0523 % |
15.6972 |
15.6971 |
12,374,675,967.19 |
|
|
K-GDBOND-A(A) |
K Global Dynamic Bond Fund-A(A) |
recommend |
THB |
25/04/2025 |
8.8195 |
+0.0253 0.2877 % |
8.8637 |
8.8195 |
1,150,562,643.00 |
|
|
K-PLAN1 |
K Plan 1 Fund |
recommend |
THB |
28/04/2025 |
14.2335 |
+0.0031 0.0218 % |
14.2336 |
14.2335 |
15,592,260,745.72 |
|
|
K-SF-A |
K Short Term Fixed Income Fund-A |
recommend |
THB |
28/04/2025 |
11.8243 |
+0.0012 0.0101 % |
11.8244 |
11.8243 |
227,559,423,923.88 |
|
|
K-SFPLUS-A |
K SF Plus Fund-A |
recommend |
THB |
28/04/2025 |
11.3575 |
+0.0014 0.0123 % |
11.3576 |
11.3575 |
126,030,226,598.79 |
|
|
K-SFPLUS-Z |
K SF Plus Fund-Z |
|
THB |
28/04/2025 |
11.3586 |
+0.0017 0.0150 % |
11.3587 |
11.3586 |
889,481.37 |
|
|
K-SFRMF |
K Short Term Fixed Income RMF |
|
THB |
28/04/2025 |
14.9785 |
+0.0032 0.0214 % |
14.9786 |
14.9785 |
12,557,935,592.35 |
|
|
K-SF-SSF |
K Short Term Fixed Income Fund-SFF |
|
THB |
28/04/2025 |
11.8160 |
+0.0012 0.0102 % |
11.8161 |
11.8160 |
1,117,330,931.36 |
|
|
K-SF-Z |
K Short Term Fixed Income Fund-Z |
|
THB |
28/04/2025 |
11.8254 |
+0.0015 0.0127 % |
11.8255 |
11.8254 |
889,413.37 |
|
|
K-TREASURY |
K Treasury Fund |
|
THB |
28/04/2025 |
13.6997 |
+0.0014 0.0102 % |
13.6998 |
13.6997 |
36,922,984,234.64 |
|
|