Fund Name Date Asset Size (Baht) NAV Change (%) Offer/Switch In Bid/Switch Out
Money Market Fund
KWI MONEY 26/07/2024 35,690,194.19 11.9411 0.0059 11.9412 11.9411
Fixed Income Fund
KWI GOV6M1 26/07/2024 27,444,328.64 10.1767 0.0059 10.1768 10.1767
Equity Funds
KWI TTG6M1 26/07/2024 13,807,271.20 8.2331 2.1324 8.2332 8.2331
KWI THEQ 26/07/2024 41,252,538.61 29.7298 1.6115 29.8042 29.7298
KWI EQ DIV 26/07/2024 78,983,314.62 9.5306 1.6955 9.5545 9.5306
KWI EQ 26/07/2024 3,198,090.49 30.7591 1.6346 30.8361 30.7591
Foreign Investment Funds (FIF)
KWI AEPLUS-A 25/07/2024 40,440,108.32 10.4542 -1.5408 10.6111 10.4542
KWI APREIT-A 26/07/2024 142,103,541.00 8.9762 0.0334 9.1109 8.9762
KWI APREIT-R 26/07/2024 65,143,950.54 8.9748 0.0323 9.1095 8.9748
KWI ASIAN SM 25/07/2024 241,410,424.05 22.1463 -1.5969 22.4786 22.1463
KWI DRAGON 25/07/2024 144,596,887.43 11.5552 -2.0056 11.7286 11.5552
KWI EE EURO 25/07/2024 43,913,352.95 6.1145 -1.5093 6.2063 6.1145
KWI HCARE-A 25/07/2024 41,118,398.83 19.1563 0.3347 19.4437 19.1563
KWI HCARE-D 25/07/2024 13,251,944.41 11.8299 0.3342 12.0075 11.8299
KWI INDIA-A 25/07/2024 105,576,352.69 22.4359 -0.4128 22.7725 22.4359
KWI INDIA-D 25/07/2024 23,479,481.85 10.6787 -0.4122 10.8390 10.6787
KWI SENERGY-A 24/07/2024 10,329,263.44 10.6906 -2.9865 10.8511 10.6906
KWI USBANK-A 25/07/2024 19,135,631.51 10.3955 0.3698 10.5515 10.3955
KWI VIETNAM 26/07/2024 13,758,271.24 9.5712 0.6636 9.6670 9.5712
Thailand ESG Funds (ThaiESG)
KWI ThaiESG-A 26/07/2024 1,972,950.62 9.0904 1.2362 9.0905 9.0904
KWI ThaiESG-D 26/07/2024 1,221,456.41 9.0863 1.2356 9.0864 9.0863
Super Savings Funds (SSF)
KWI EQ SSF 26/07/2024 31,442,591.13 30.7770 1.6346 30.7771 30.7770
KWI SENERGY-SSF 24/07/2024 1,846,269.12 10.6814 -2.9863 10.6815 10.6814
Retirement Mutual Funds (RMF)
KWI ASM RMF 25/07/2024 61,420,134.16 12.0755 -1.6068 12.0756 12.0755
KWI FLEX RMF 26/07/2024 39,823,066.37 20.3813 0.6226 20.3814 20.3813
Long Term Equity Fund (LTF)
KWI LTF 26/07/2024 913,762,494.53 31.0532 1.6355 0.0000 31.0532
Mutual Fund for Provident Fund
KWI FIPVD 26/07/2024 72,875,541.56 10.3320 0.0339 10.3321 10.3320
Remark
  • The NAV (on T) of Local Funds and Foreign Investment Funds (FIFs) except KWI SENERGY-A and KWI SENERGY-SSF will be announced through website by 10.00 a.m. and 1.00 p.m. on the next business day (on T+1) respectively. 
  • The NAV (on T) of KWI SENERGY-A and KWI SENERGY-SSF will be announced through website by 1.00 p.m. on the next 2 business days (on T+2). 
  • In case of the non-trading day of Foreign Investment Funds (FIFs), their current prices will be shown as of the latest trading date.
  • LTF shall no longer offer tax deductibility against taxable income, with effect from January 1, 2020.  Consequently, KWI LTF (Tax Class) shall not open for new subscription from January 2, 2020 onwards. Only the switching transaction from other AMC’s LTFs (with the same Tax deduction conditions) into this KWI LTF (Tax class) is allowed.

If you would like to receive the NAV of Local Funds at the end of the business day (on T) via e-mail on a daily basis, please inform your e-mail to marketing-kwiam@kwiasia.com

* Investment involves risks. Investors should carefully study the product features, terms and conditions, performance and risk factors before making investment decisions. Past performance is not indicative of future performance. For investment in the funds with offshore investment exposure and without full hedging of currency risk, investors may experience currency losses or profits, or get back less than their initial investment.

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