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Fund Value

In B.E. 2545 (AD 2002), GPF adopted the daily unitization methodology in its calculation and allocation of investment returns. The calculation of units and unit price on a daily basis has made it possible to track fund performance in terms of daily changes in unit value.


Unit Price : The price of one unit that is calculated at the end of each business day from dividing "Net Asset Value of Member Account Fund" by "Total Numbers of Member Account Fund units".


Net Asset Value of Member Accounts : All types of capital (excluding Reserves Account) comprises Member Contribution, Employer Contribution, Post-reform Compensation, Pre-reform Compensation, General Account and the benefits thereof.


Number of Unit : all units of Net Asset Value of Member Accounts.


Net Asset Value of Reserves Account : the money allocated by the State in the amount not less than 20 percent of the annual expenditure budget for officials’ gratuity and pension. In case of national economic crises, the State may order the Fund to remit the money from the reserves account as the State revenues to be paid as officials’ gratuity and pension by virtue of a royal decree, but the State must allot the budget to compensate the money used to the Fund in the following fiscal year.





Fund Value of Member Accounts

Effective date 26/12/2025
Unit Price (Baht)
  Growth 20 Plan* (An investment plan in the Life Path Choice) 29.4631
Growth 75 Plan* (An investment plan in the Life Path Choice) 33.3391
Deposit and Short-Term Fixed Income Plan 21.4968
Fixed Income Plan 24.2675
General Plan 30.0078
Vayupak Plan 10.9177
Global Fixed Income Plan 28.2664
Growth 35 Plan 33.8145
Growth 65 Plan 39.2182
Thai REIT Plan 24.4435
Global Equity Plan 31.4891
Thai Equity Plan 22.9156
Gold Plan 58.2456
Happy Retirement 2026 Plan 10.0101
Shariah-Compliant Investment Plan 9.8201
Net Asset Value excluding Reserves Account (Baht) 532,435,856,009.69
Net Asset Value including Reserves Account (Baht) 1,478,691,196,329.03
Effective date 26/12/2025
Unit Price (Baht)
  Growth 20 Plan* (An investment plan in the Life Path Choice) 29.4631
Growth 75 Plan* (An investment plan in the Life Path Choice) 33.3391
Deposit and Short-Term Fixed Income Plan 21.4968
Fixed Income Plan 24.2675
General Plan 30.0078
Vayupak Plan 10.9177
Global Fixed Income Plan 28.2664
Growth 35 Plan 33.8145
Growth 65 Plan 39.2182
Thai REIT Plan 24.4435
Global Equity Plan 31.4891
Thai Equity Plan 22.9156
Gold Plan 58.2456
Happy Retirement 2026 Plan 10.0101
Shariah-Compliant Investment Plan 9.8201
Net Asset Value excluding Reserves Account (Baht) 532,435,856,009.69
Net Asset Value including Reserves Account (Baht) 1,478,691,196,329.03

Remark

* Growth 20, Growth 75 are investment plans for the purpose of asset allocation in the Life Path Choice, and the members cannot choose Growth 20, Growth 75 as a Pre-Mixed Choice separately.

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Fund Value of Reserves Account

Effective Date 26/12/2025
Net Asset Value (Baht) 946,255,340,319.34
Effective Date 26/12/2025
Net Asset Value (Baht) 946,255,340,319.34