ABFTH |
The ABF Thailand Bond Index Fund |
|
THB |
17/01/2025 |
1,310.9184 |
+0.9638 0.0736 % |
N/A |
N/A |
11,396,531,160.84 |
|
|
K-AB22A |
K Fixed Income AB 2022A Fund |
|
THB |
17/01/2025 |
9.9079 |
+0.0002 0.0020 % |
N/A |
9.9079 |
831,027,994.00 |
|
|
K-AB22B |
K Fixed Income AB 2022B Fund |
|
THB |
17/01/2025 |
9.7195 |
+0.0002 0.0021 % |
N/A |
9.7195 |
329,825,213.32 |
|
|
K-AFIXED |
K Asia Fixed Income Fund |
|
THB |
02/10/2024 |
10.5134 |
+0.0050 0.0476 % |
N/A |
10.5134 |
101,543,999.78 |
|
|
K-AHY |
K Asia High Yield Bond Fund |
|
THB |
15/01/2025 |
9.4669 |
-0.0083 0.0876 % |
9.5143 |
9.4669 |
1,615,799,434.70 |
|
|
K-AHYA-UI |
K Asia High Yield A Fund Not for Retail Investors |
|
THB |
15/01/2025 |
8.2571 |
-0.0073 0.0883 % |
N/A |
8.2571 |
1,131,790,704.45 |
|
|
K-AHYB-UI |
K Asia High Yield B Fund Not for Retail Investors |
|
THB |
15/01/2025 |
9.3869 |
-0.0096 0.1022 % |
N/A |
9.3869 |
1,261,398,583.32 |
|
|
K-AHYC-UI |
K Asia High Yield C Fund Not for Retail Investors |
|
THB |
15/01/2025 |
8.6961 |
-0.0093 0.1068 % |
N/A |
8.6961 |
1,041,791,067.36 |
|
|
K-AHYD-UI |
K Asia High Yield D Fund Not for Retail Investors |
|
THB |
15/01/2025 |
10.4554 |
-0.0096 0.0917 % |
N/A |
10.4554 |
632,180,401.46 |
|
|
K-APB-A(A) |
K Asia Pacific Bond Fund-A(A) |
recommend |
THB |
15/01/2025 |
9.5336 |
+0.0098 0.1029 % |
9.5814 |
9.5336 |
4,069,978,514.71 |
|
|
K-APB-C(A) |
K Asia Pacific Bond Fund-C(A) |
|
THB |
15/01/2025 |
9.5340 |
+0.0097 0.1018 % |
9.5341 |
9.5340 |
10,256,030.66 |
|
|
K-CBOND-A |
K Corporate Bond Fund-A |
|
THB |
17/01/2025 |
19.1657 |
-0.0017 0.0089 % |
19.1658 |
19.1657 |
5,418,266,397.78 |
|
|
K-CBOND-Z |
K Corporate Bond Fund-Z |
|
THB |
17/01/2025 |
19.4045 |
-0.0015 0.0077 % |
19.4046 |
19.4045 |
815,896,785.94 |
|
|
K-DFIXED |
K Dynamic Fixed Income Fund |
|
THB |
17/01/2025 |
10.5781 |
+0.0002 0.0019 % |
10.5782 |
10.5781 |
272,002,182.76 |
|
|
K-ESGSI-ThaiESG |
K ESG Sovereign Instruments Fund-ThaiESG |
recommend |
THB |
17/01/2025 |
10.4719 |
+0.0182 0.1741 % |
10.4720 |
10.4719 |
4,537,273,183.60 |
|
|
K-FI22G |
K Fixed Income 2022G Fund |
|
THB |
17/01/2025 |
10.0019 |
+0.0003 0.0030 % |
N/A |
10.0019 |
508,323,851.67 |
|
|
K-FI22H |
K Fixed Income 2022H Fund |
|
THB |
17/01/2025 |
9.9982 |
+0.0003 0.0030 % |
N/A |
9.9982 |
319,961,715.42 |
|
|
K-FI22I |
K Fixed Income 2022I Fund |
|
THB |
17/01/2025 |
10.1389 |
+0.0002 0.0020 % |
N/A |
10.1389 |
534,584,088.30 |
|
|
K-FI22J |
K Fixed Income 2022J Fund |
|
THB |
17/01/2025 |
10.1305 |
+0.0002 0.0020 % |
N/A |
10.1305 |
295,117,494.13 |
|
|
KFIRMF |
K Fixed Income RMF |
recommend |
THB |
17/01/2025 |
16.7741 |
+0.0009 0.0054 % |
16.7742 |
16.7741 |
13,935,173,636.94 |
|
|
K-FIXED-A |
K Fixed Income Fund-A |
recommend |
THB |
17/01/2025 |
13.6179 |
+0.0010 0.0073 % |
13.6180 |
13.6179 |
65,504,495,630.34 |
|
|
K-FIXEDPLUS-A |
K Fixed Income Plus Fund-A |
recommend |
THB |
17/01/2025 |
11.2877 |
+0.0036 0.0319 % |
11.2878 |
11.2877 |
24,642,424,162.67 |
|
|
K-FIXEDPLUS-SSF |
K Fixed Income Plus Fund-SSF |
|
THB |
17/01/2025 |
11.2800 |
+0.0035 0.0310 % |
11.2801 |
11.2800 |
2,212,294,020.45 |
|
|
K-FIXEDPRO |
K Fixed Income Proactive Fund |
|
THB |
16/01/2025 |
10.0429 |
+0.0115 0.1146 % |
10.0430 |
10.0429 |
963,670,826.96 |
|
|
K-FIXED-Z |
K Fixed Income Fund-Z |
|
THB |
17/01/2025 |
13.7865 |
+0.0012 0.0087 % |
13.7866 |
13.7865 |
2,679,783,613.74 |
|
|
K-GB-A(D) |
K Global Bond Fund-A(D) |
|
THB |
16/01/2025 |
9.0082 |
+0.0127 0.1412 % |
9.0533 |
9.0082 |
1,267,320,116.18 |
|
|
K-GB-C(A) |
K Global Bond Fund-C(A) |
|
THB |
16/01/2025 |
9.0259 |
+0.0127 0.1409 % |
9.0260 |
9.0259 |
88,697,163.97 |
|
|
KGBRMF |
K Government Bond RMF |
|
THB |
17/01/2025 |
15.3582 |
+0.0038 0.0247 % |
15.3583 |
15.3582 |
12,190,828,363.51 |
|
|
K-GDBOND-A(A) |
K Global Dynamic Bond Fund-A(A) |
recommend |
THB |
16/01/2025 |
8.7414 |
+0.0069 0.0790 % |
8.7852 |
8.7414 |
1,124,146,074.42 |
|
|
K-PLAN1 |
K Plan 1 Fund |
recommend |
THB |
17/01/2025 |
14.0121 |
+0.0009 0.0064 % |
14.0122 |
14.0121 |
13,679,632,154.36 |
|
|
K-SF-A |
K Short Term Fixed Income Fund-A |
recommend |
THB |
17/01/2025 |
11.7518 |
+0.0009 0.0077 % |
11.7519 |
11.7518 |
215,579,125,137.67 |
|
|
K-SFPLUS |
K SF Plus Fund |
recommend |
THB |
17/01/2025 |
11.2776 |
+0.0008 0.0071 % |
11.2777 |
11.2776 |
109,902,222,481.15 |
|
|
KSFRMF |
K Short Term Fixed Income RMF |
recommend |
THB |
17/01/2025 |
14.8415 |
-0.0001 0.0007 % |
14.8416 |
14.8415 |
12,238,188,500.94 |
|
|
K-SF-SSF |
K Short Term Fixed Income Fund-SFF |
|
THB |
17/01/2025 |
11.7441 |
+0.0008 0.0068 % |
11.7442 |
11.7441 |
1,081,419,058.76 |
|
|
K-TREASURY |
K Treasury Fund |
|
THB |
17/01/2025 |
13.6354 |
+0.0008 0.0059 % |
13.6355 |
13.6354 |
36,103,096,635.58 |
|
|