Symbol Fund Date NAV Change Offer Bid Total Net Asset
K-CASH K Cash Management Fund 03/05/2024 13.5656 +0.0007 | 0.0052 % 13.5657 13.5656 56,225,636,334.84
K-FEQ K Flexible Equity Fund 03/05/2024 75.0520 +0.3458 | 0.4629 % 75.0521 74.3015 1,460,172,657.30
KGBRMF K Government Bond RMF 03/05/2024 14.9256 +0.0080 | 0.0536 % 14.9257 14.9256 11,291,544,392.93
K-SUPSTAR-SSFX K Superstar Super Savings Fund Extra 03/05/2024 10.2364 +0.0338 | 0.3313 % 10.2365 10.2364 2,005,591,897.52
K-TNZ-ThaiESG K Target Net Zero Thai Equity Fund-ThaiESG 03/05/2024 9.7737 +0.0556 | 0.5721 % 9.7738 9.7737 1,463,377,307.59

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