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The last trading day of the competition has passed. Once the NAVs on Nov 30, 2014 have been updated for all the funds, we will post the Top-5 results soon after.
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฿10.7246 -0.0231 (-0.21%)

As of Dec 19, 2014


Type: Retirement Mutual Fund
Inception: Dec 30, 09
Risk Factor: 8.0

Past Performance

3 Months 6 Months 1 Year 3 Years Since Inception
-฿0.2208 -฿0.6995 +฿0.0019 -฿2.9058 +฿0.7343
-2.02% -6.12% +0.02% -21.32% +6.13%
Past Performance calculated as of Dec 19, 2014

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