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Fondos Tailandia

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Estado

 NombreSímboloÚltimo% Var.Total activosHora
 K Cash Management FundK-CASH13,5750,01%55,44B16/05 
 Bualuang Thanatavee Fixed Income FundB-TNTV13,7120,01%89,25B16/05 
 Digital Telecommunications Infrastructure FundDIF7,7500,00%170,32B16/05 
 Krungsri Star Plus FundKFSPLUS21,995+0,02%54,9B16/05 
 JASMINE BROADBAND INTERNET INFRASTRUCTURE FUNDJASIF5,7000,00%46,54B16/05 
 SCB Savings Fixed Income Open End FundSCBSFF21,205+0,01%62,91B16/05 
 Bualuang Long - Term Equity FundB-LTF33,214-0,09%36,59B16/05 
 Krung Thai Short Term Fixed Income Plus Fund A0P0001.11,026+0,01%21,31B16/05 
 Bualuang Treasury FundB-TREA.11,5170,01%34,55B16/05 
 K Fixed Income FundK-FIXED13,299+0,08%38,28B16/05 
 Tesco Lotus Ret Growth F&L PrpTLGF13,1000,00%29,51B16/05 
 The Krung Thai Sa-Som-Sub FundKTSS13,4450,01%24,28B16/05 
 Bualuang Long - Term Equity Fund 75/25BLTF7524,269-0,11%20,41B16/05 
 Krung Thai Thanasup Plus FundKTPLUS11,5840,01%21,87B16/05 
 Krungsri Dividend Stock LTFKFLTFD.16,566+0,52%20,23B16/05 
 Bualuang Flexible RMFBFLRMF50,950-0,06%19,54B16/05 
 NORTH BANGKOK POWER PLANT BLOCK 1 INFRASTRUCTURE FEGATIF6,1500,00%17,69B16/05 
 TMB Global Quality Growth FundTMBGQG20,446+1,02%22,08B15/05 
 Bualuang Fixed Income FundBFIXED12,878+0,04%19,64B16/05 
 K Equity 70:30 LTFK70LTF12,883+0,28%14,65B16/05 
 Thanachart Income Plus FundT-Inco.11,928+0,01%16,84B16/05 
 Krungsri Active Fixed Income FundKFAFIX11,628+0,07%18,58B16/05 
 TMB EASTSPRING Property and Infrastructure Income TMBPIPF8,418+0,60%11,19B16/05 
 K Equity Dividend LTFKDLTF14,557+0,35%13,11B16/05 
 TMB Treasury Money FundTMBTM14,2230,01%13,38B16/05 
 K Property Sector FundK-PROP8,552+1,33%11,7B16/05 
 K Treasury FundK-TREA.13,4680,01%33,29B16/05 
 K Flexible Equity RMFKFLRMF81,776+0,12%13,2B16/05 
 K 20 Select LTFK20SLTF13,299+0,41%10,51B16/05 
 Krungsri Cash Management FundKFCASH13,6650,01%17,22B16/05 
 TMB SET50TMB5090,217+0,66%13,05B16/05 
 SCB Fixed Income Plus Fund (Accumulation)SCBFP13,276+0,11%12,1B16/05 
 K PLAN 1 FundK-PLAN113,707+0,06%11,43B16/05 
 Phatra Money Positive FundPHATRA.12,5480,00%18,23B16/05 
 KTAM China A Shares Equity Fund A0P0001.6,143-0,06%9,7B15/05 
 Bualuang Equity RMFBERMF77,561-0,08%11,26B16/05 
 SCB Income Plus FundSCBPLUS10,518+0,19%7,85B16/05 
 Thanachart Cash Management FundT-CASH14,0590,01%18,47B16/05 
 SCB Short Term Fixed Income RMFSCBRM114,695+0,02%15,72B16/05 
 Krungsri Dividend Stock FundKFSDIV5,401-0,01%9,56B16/05 
 K China Equity FundK-CHINA4,856-0,29%12,32B14/05 
 Good Corporate Governance Long Term Equity FundCG-LTF53,165+0,58%8,59B16/05 
 Krung Thai 1Y-3Y Fixed Income Fund for PVD0P0001.10,805+0,08%12,72B16/05 
 K Government Bond RMFKGBRMF14,954+0,11%11,28B16/05 
 TMB Global Income FundTMBGIN.11,689+0,47%14,14B15/05 
 K Equity LTFKEQLTF29,819+0,35%8,17B16/05 
 K Fixed Income RMFKFIRMF16,290+0,10%11,67B16/05 
 Bualuang Fixed-Income RMFBFRMF15,457+0,07%10,9B16/05 
 Bualuang Top-Ten FundBTP42,709-0,24%8,21B16/05 
 B Senior Citizen Mixed FundB-SENI.12,895+0,11%7,84B16/05 
 Quality Houses Property FundQHPF4,4000,00%8,51B16/05 
 Krungsri Dividend Stock RMFKFDIVR.22,716+0,48%7,87B16/05 
 Krung Thai 1Y-3Y Fixed Income FundKTFIX-.12,062+0,08%4,61B16/05 
 SCB Dividend Stock Open End Fund (Dividend)SCBDV8,473+0,48%7,99B16/05 
 SCB Equity RMFSCBRM449,572+0,49%8,34B16/05 
 SCB Dividend Stock Open End Fund (Individual/Group0P0001.8,536+0,48%7,99B16/05 
 Bualuang Basic Dividend LTFBBASIC.7,883-0,32%6,19B16/05 
 SCB Government Bond RMFSCBRM214,726+0,13%8,88B16/05 
 Krung Thai Short Term FundKT-ST12,748+0,01%6,72B16/05 
 Krungsri Cash RMFKFCASH.13,6050,01%9,33B16/05 
 Aberdeen Standard Long Term Equity FundABLTF37,607+0,15%6,08B16/05 
 K Corporate Bond FundK-CBOND18,748+0,07%4,88B16/05 
 PHATRA STRATEGIC ASSET ALLOCATION FUNDPHATRA.15,776+0,37%7,26B15/05 
 K Balanced RMFKBLRMF28,373+0,10%7,34B16/05 
 K-SET 50 Index FundK-SET5030,850+0,66%7,4B16/05 
 Bualuang Global Innovation & Technology Fund0P0001.30,518+0,21%9,09B14/05 
 Krungsri China A Shares Equity Fund A0P0001.7,487-0,04%6,96B15/05 
 SCB Asia Pacific Income Plus Fund(Not for Retail ISCBAPL.10,818+0,29%405,44M15/05 
 JUMBO 25 Dividend Long Term Equity FundJB25LTF17,772+0,59%5,47B16/05 
 Krungsri Government Bond RMFKFGOVR.15,170+0,07%7,53B16/05 
 Phatra Long Term Equity Dividend FundPHATRA.20,415+0,04%4,89B16/05 
 SCB Treasury Money Plus Open End Fund (Class I)SCBTMF.11,5760,01%5,58B16/05 
 UOB Sure Daily Open-ended FundUOBSD13,2680,01%7,72B16/05 
 Bualuang China Equity Fund0P0001.7,670-0,20%6,26B15/05 
 K Short Term Fixed Income RMFKSFRMF14,592+0,02%10,49B16/05 
 LH HOTEL LEASEHOLD REAL ESTATE INVESTMENT TRUSTLHHOTEL11,4000,00%5,83B16/05 
 Thanachart Money Market FundT-MONEY12,3220,00%4,21B07/12 
 Bualuang Global Health Care FundBCARE40,347+0,25%5,61B14/05 
 Krungsri Global Collective Smart Income FundKF-CSI.11,126+0,53%12,22B15/05 
 Krungsri Dividend Stock LTF 70/30KFLTFD.12,013+0,34%4,55B16/05 
 Thanachart General Fixed Income Retirement Mutual T-NFRMF17,400+0,05%6,41B16/05 
 TMB Money FundTMBMF22,658+0,01%4,38B16/05 
 K Growth LTFKGLTF13,472+0,47%4,05B16/05 
 CIMB-PRINCIPAL FAM Fixed Income FundCIMB-P.15,031+0,06%5,21B16/05 
 Future Park Property FundFUTURE.11,6000,00%5,51B16/05 
 TMB EASTSPRING China A Active Fund0P0001.7,036-0,01%4,53B14/05 
 Krung Thai Savings FundKTSV12,0210,01%6,35B16/05 
 PHATRA GLOBAL NEW PERSPECTIVE FUNDPHATRA.21,692+0,47%5,61B15/05 
 Krung Thai Long-Term Equity Fund70/30KTLF70.32,590+0,42%3,7B16/05 
 Value Plus - Dividend Long Term Equity FundVALUE-.20,489+0,39%3,7B16/05 
 SCB Flexible Fund RMFSCBRM322,757+0,34%4,56B16/05 
 KTAM China Equity Fund A0P0001.8,328+0,04%4,96B15/05 
 CPN Commercial Growth Leasehold Property FundCPNCG5,9000,00%4,35B16/05 
 Quality Houses Hotel and Residence Freehold and LeQHHR6,6500,00%4,76B16/05 
 KTAM Global Credit Income Fund R0P0001.10,084+0,30%284,08M15/05 
 TMB Money Retirement Mutual FundTMBMRMF13,4180,01%5,28B16/05 
 Krungsri SET50 LTFKFLTF5032,271+0,65%3,71B16/05 
 K Mid Small Cap Equity RMFKMSRMF16,599+0,77%4,2B16/05 
 SCB Treasury Money Plus Open End Fund (Class A)SCBTMF.11,5750,01%3,05B16/05 
 TMB China Opportunity Fund0P0001.12,080-0,20%4,52B14/05 
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