05-22 Mfc-Nichada Thani Property Fund 2 Declares Dividend Distribution for the Period 1 January 2026 to 31 March 2026, Payable on 22 June 2026 CI
03-04 MFC-Nichada Thani Property Fund 2 Declares Dividend Distribution for the Period 1 October 2025 to 31 December 2025, Payable on 30 March 2026 CI
12-25 MFC-Nichada Thani Property Fund 2 Announces Address Changes CI
11-26 MFC-Nichada Thani Property Fund 2 Approves Dividend Distribution for the Period 1 July 2025 to 30 September 2025, Payable on December 24, 2025 CI
25-08-22 Nichada Thani Property Fund 2 Approves Dividend for the Period from April 1, 2025 to June 30, 2025, Payable on 22 September 2025 CI
25-05-21 MFC-Nichada Thani Property Fund 2 Approves Dividend Distribution for the Period 1 January 2025 - 31 March 2025, Payable on 19 June 2025 CI
25-03-05 MFC-Nichada Thani Property Fund 2 Approves Dividend Distribution for the Period October 1, 2024 to December 31, 2024, Payable March 28, 2025 CI
24-08-27 Nichada Thani Property Fund 2 Approves Dividend for the Period from April 1, 2024 to June 30, 2024, Payable on September 26, 2024 CI
24-05-21 MFC-Nichada Thani Property Fund 2 Announces Dividend for the Period January 1, 2024 to March 31, 2024, Payable on June 19, 2024 CI
24-03-05 Nichada Thani Property Fund 2 Announces Dividend for the Period 1 October 2023 to 31 December 2023, Payable on 29 March 2024 CI
23-11-29 MFC-Nichada Thani Property Fund 2 Approves Dividend for the Period 1 July 2023 ­ 30 September 2023, Payable on 27 December 2023 CI
23-08-22 MFC-Nichada Thani Property Fund 2 Approves the Dividend Distribution for the Period 1 April 2023 - 30 June 2023, Payable on September 20, 2023 CI
23-05-18 Nichada Thani Property Fund 2 Approves the Dividend Distribution for the Period 1 January 2023 - 31 March 2023, Payable on June 16, 2023 CI
1 day-0.52%
1 week-0.52%
1 month+0.52%
3 months+2.12%
6 months+3.76%
Current year+1.05%
1 week 1.92
Extreme 1.92
1.94
1 month 1.91
Extreme 1.91
2
Current year 1.85
Extreme 1.85
2
1 year 1.8
Extreme 1.8
2
3 years 1.5
Extreme 1.5
2.5
5 years 1.2
Extreme 1.2
2.5
10 years 0.83
Extreme 0.83
2.7
Change 5-day change 1-year change 3-year change Capi.($)
-0.52%-0.52% - - 15.13M
-3.53%-4.98%+258.45%+472.73% 62.03B
-2.71%-6.87%+54.41%+135.80% 23.27B
+0.19%+1.25%-25.40%+0.77% 20.53B
-0.15%-2.94%-10.20%+107.87% 14.4B
+0.98%+0.87%-19.22%-14.22% 8.43B
-0.16%-3.28%+16.76%+51.79% 5.74B
-3.30%-1.23%-50.15%-77.95% 5.51B
-0.10%+0.29%-27.62%-17.67% 4.55B
+0.15%+3.24%+1.25%-0.58% 3.97B
Average -0.90%-0.33%+22.03%+73.17% 16.49B
Weighted average by Cap. -1.95%-1.72%+108.92%+227.17%
Logo MFC-Nichada Thani Property Fund 2
Nichada Thani Property Fund 2 (the Fund) is a Thailand-based close-ended property fund with no maturity date. The Fund’s objective is to use the proceeds from sale of investment units to invest in property for private home, located in Amphur Pakkred, Nonthaburi. The Fund’s investments in properties include two-story private houses in The Regent Project 1 Pakkret, Nonthaburi (30 units) and two-story private houses in The Regent Project 2 Pakkret, Nonthaburi (17 units). MFC Asset Management Public Company Limited serves as the Fund’s manager and the Fund’s registrar. Kasikorn Bank Plc. serves as the trustee of the Fund’s assets.
Employees
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Date Price Change Volume
26-08-13 THB 1.930 -0.52% 1,900
26-08-11 THB 1.940 0.00% 200
26-08-10 THB 1.940 +1.04% 4,800
26-08-07 THB 1.920 -1.03% 6,603
26-08-06 THB 1.940 0.00% 1,800