LIQUIDITY

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-MONEY K Money Market Fund THB 07/02/2025 12.6963 +0.0004
0.0032 %
12.6964 12.6963 23,319,766,627.77
K-SF-A K Short Term Fixed Income Fund-A
recommend
THB 07/02/2025 11.7660 +0.0026
0.0221 %
11.7661 11.7660 219,063,976,166.12
K-SFPLUS K SF Plus Fund
recommend
THB 07/02/2025 11.2920 +0.0026
0.0230 %
11.2921 11.2920 115,297,226,926.88
K-TREASURY K Treasury Fund THB 07/02/2025 13.6485 -0.0001
0.0007 %
13.6486 13.6485 34,805,457,022.81

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