มูลค่าหน่วยลงทุนย้อนหลัง

Historical NAV


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Historical NAV
 
Date as of 22/03/2023
ข้อมูล ณ วันที่ 22/03/2566

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Fund Name : TISCO MID/SMALL CAP LTF (CLASS A)
หน่วย : บาท
                    ทิสโก้ MID/SMALL CAP หุ้นระยะยาว (A)
Unit : Baht
NAV Date NAV/Unit Net Asset Value
22/03/2023 15.5895 338,496,262.08
21/03/2023 15.6806 340,497,534.57
20/03/2023 15.5099 336,910,584.43
17/03/2023 15.6361 339,650,712.02
16/03/2023 15.6229 339,439,798.20
15/03/2023 15.7324 341,819,138.11
14/03/2023 15.2700 331,801,545.88
13/03/2023 15.7948 343,679,264.98
10/03/2023 16.1552 352,677,516.37
09/03/2023 16.3382 356,841,398.66
08/03/2023 16.2242 354,376,877.23
07/03/2023 16.1855 353,529,879.79
03/03/2023 16.0397 350,634,426.76
02/03/2023 16.0089 350,034,852.89
01/03/2023 16.2887 356,150,639.16
28/02/2023 16.2520 355,350,131.03
27/02/2023 16.3296 356,852,067.90
24/02/2023 16.2926 356,244,401.04
23/02/2023 16.4651 360,138,156.37
22/02/2023 16.4394 359,756,931.13
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