Money Market
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change %Change Date Graph Table
Talis Money Market Fund-A TLMMF-A 11.0930 1,066,790,667.37 11.0931 11.0930 +0.0003 +0.00 2/10/2026
Mixed Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change %Change Date Graph Table
Talis Flexible Fund TLFLEX 8.0449 43,185,906.76 8.1254 8.0449 +0.0303 +0.38 2/10/2026
Equity Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change %Change Date Graph Table
TALIS DIVIDEND STOCK EQUITY FUND-D TLDIVEQ-D 10.7511 11,551,465.95 10.8587 10.7511 +0.0705 +0.66 2/10/2026
TALIS DIVIDEND STOCK FOCUS FUND TLDIVFOCUS 11.0144 13,940,652.25 11.0145 11.0144 +0.0726 +0.66 2/10/2026
TALIS EQUITY SELECT FUND TLEQ-SELECT 8.5319 48,342,500.56 8.5320 8.5319 +0.0326 +0.38 2/10/2026
Talis Thai Equity CG Fund TLEQ-THAICG 8.9451 11,135,778.29 9.0347 8.9451 +0.0419 +0.47 2/10/2026
Talis Mid-Small Cap Equity Fund-A TLMSEQ-A 11.8721 47,432,793.01 11.9909 11.8721 +0.0589 +0.50 2/10/2026
Foreign Investment Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change %Change Date Graph Table
AF US Wide MOAT Fund Hedged A AFMOAT-HA 11.4222 196,978,704.79 11.5365 11.4222 +0.0261 +0.23 2/10/2026
MEGA 10 FUND-A MEGA10-A 23.8735 417,447,561.23 24.1123 23.8735 +0.1368 +0.58 2/10/2026
MEGA 10 ARTIFICIAL INTELLIGENCE FUND-A MEGA10AI-A 16.8111 511,715,999.43 16.9793 16.8111 +0.1446 +0.87 2/10/2026
MEGA 10 ARTIFICIAL INTELLIGENCE CHINA FUND-A MEGA10AICHINA-A 9.1933 410,386,756.61 9.2853 9.1933 -0.1531 -1.64 2/10/2026
MEGA 10 CHINA FUND-A MEGA10CHINA-A 11.6473 1,494,910,010.74 11.7639 11.6473 -0.2089 -1.76 2/10/2026
MEGA 10 CHINA POPULAR CONSUMER BRAND FUND-A MEGA10CHINAPOP-A 7.1258 25,208,655.06 7.1972 7.1258 -0.1160 -1.60 2/10/2026
MEGA 10 CHINA TECHNOLOGY FUND-A MEGA10CHINATECH-A 7.3837 98,105,393.02 7.4576 7.3837 -0.1355 -1.80 2/10/2026
MEGA 10 CYBERSECURITY AND ENTERPRISE SOFTWARE FUND-A MEGA10CYBER-A 9.5383 34,010,877.46 9.6338 9.5383 -0.0135 -0.14 2/10/2026
MEGA 10 EURO FUND-A MEGA10EURO-A 10.7307 12,556,885.32 10.8381 10.7307 -0.0133 -0.12 2/10/2026
MEGA 10 HEALTHCARE FUND-A MEGA10HEALTH-A 11.9741 33,539,747.72 12.1239 11.9741 -0.0873 -0.72 2/10/2026
MEGA WORLD 30 FUND-A MEGAWORLD30-A 13.9186 122,258,723.91 14.0579 13.9186 +0.0980 +0.71 2/10/2026
TALIS GLOBAL EQUITY ALLOCATION FUND TLA-GEQ 12.9975 3,227,799,313.02 13.1276 12.9975 +0.0915 +0.71 2/10/2026
TALIS GLOBAL FIXED INCOME ALLOCATION FUND TLA-GFIX 10.2132 1,340,379,799.04 10.2644 10.2132 -0.0452 -0.44 2/10/2026
TALIS CHINA ROBOTICS FUND TLCHINAROBOT 8.0458 57,110,796.02 8.1264 8.0458 -0.0422 -0.52 30/9/2026
TALIS CHINA STAR 50 FUND TLCHINASTAR50-X 9.5551 13,668,178.06 9.6119 9.5551 -0.2550 -2.60 30/9/2026
TALIS CHINA TECHNOLOGY 100 FUND TLCNTECH100-X 8.9218 29,822,720.94 8.9749 8.9218 -0.1174 -1.30 2/10/2026
TALIS CORE WEALTH BALANCED ALLOCATION FUND-HEDGE TLCOREWEALTH-H-X 9.9665 170,100,499.97 9.9766 9.9366 +0.0440 +0.44 2/10/2026
TALIS CORE WEALTH BALANCED ALLOCATION FUND-UNHEDGE TLCOREWEALTH-UH-X 9.9579 253,353,791.15 9.9680 9.9280 -0.0001 +0.00 2/10/2026
TALIS DEFENSE TECH FUND TLDEFENSE 8.8103 118,917,678.75 8.9205 8.8103 -0.0266 -0.30 2/10/2026
TALIS MEMORY FUND TLDRAM 10.5166 19,245,256.67 10.6219 10.5166 +0.0961 +0.92 2/10/2026
TALIS FVMR ASIA PACIFIC EX JAPAN EX CHINA TLFVMR-ASIAX 15.8829 3,928,457,874.97 16.0418 15.8829 +0.2712 +1.74 2/10/2026
TALIS GOLD PLUS FUND TLGOLDPLUS 9.9108 28,398,445.71 10.0100 9.9108 -0.0884 -0.88 2/10/2026
TALIS GLOBAL SELECT FUND TLGSELECT 10.4692 222,090,296.68 10.6002 10.4692 -0.0351 -0.33 2/10/2026
TALIS NASDAQ EQUITY PREMIUM INCOME FUND-HEDGE TLNDQINCOME-H-X 11.1496 50,756,385.54 11.1854 11.1496 +0.0601 +0.54 2/10/2026
TALIS NASDAQ EQUITY PREMIUM INCOME FUND-UNHEDGE TLNDQINCOME-UH-X 11.7717 349,666,923.17 11.8095 11.7717 +0.0124 +0.11 2/10/2026
TALIS QUANT GLOBAL RETURN OPTIMIZED WEALTH FUND-A TLQUANT-GROW-A 10.1265 76,587,483.75 10.2785 10.1265 -0.0671 -0.66 2/10/2026
TALIS SEMICONDUCTOR-HEDGE TLSEMICON-H 24.5062 243,916,714.27 24.6288 24.5062 +0.8520 +3.60 2/10/2026
TALIS SEMICONDUCTOR-UNHEDGE TLSEMICON-UH 26.4782 324,234,477.46 26.6107 26.4782 +0.8024 +3.13 2/10/2026
TALIS SPACE TECH FUND TLSPACE-X 8.2464 54,533,091.75 8.3118 8.2464 +0.2730 +3.42 2/10/2026
TALIS EXPANDED TECH-HEDGE TLTECH-H 17.2363 15,368,217,313.81 17.2364 17.2363 +0.1812 +1.06 2/10/2026
TALIS EXPANDED TECH-UNHEDGE TLTECH-UH 18.0435 3,230,683,981.77 18.0436 18.0435 +0.1073 +0.60 2/10/2026
TALIS US EQUITY 500-HEDGE TLUS500-H 13.4941 163,793,949.39 13.5617 13.4941 +0.0984 +0.73 2/10/2026
TALIS US EQUITY 500-UNHEDGE-A TLUS500-UH-A 14.0698 263,262,780.83 14.1402 14.0698 +0.0409 +0.29 2/10/2026
TALIS US EQUITY 500-UNHEDGE-X TLUS500-UH-X 14.0818 744,923,905.75 14.0960 14.0396 +0.0410 +0.29 2/10/2026
TALIS US SHORT-TERM TREASURY BOND FUND TLUSGOV 10.1961 618,344,002.99 10.1962 10.1961 -0.0383 -0.37 2/10/2026
TALIS U.S. DIVIDEND EQUITY FUND-HEDGE TLUSHD-H 10.3276 100,689,562.85 10.4310 10.3276 +0.0177 +0.17 2/10/2026
TALIS U.S. DIVIDEND EQUITY FUND-UNHEDGE TLUSHD-UH 10.6828 236,049,817.04 10.7897 10.6828 -0.0287 -0.27 2/10/2026
TALIS U.S. LARGE-CAP GROWTH EQUITY FUND-HEDGE TLUSHG-H-X 10.3472 31,881,977.54 10.4292 10.3472 +0.0940 +0.92 2/10/2026
TALIS U.S. LARGE-CAP GROWTH EQUITY FUND-UNHEDGE TLUSHG-UH-X 10.7436 152,250,721.30 10.8288 10.7436 +0.0518 +0.48 2/10/2026
TALIS US EQUITY NDQ-HEDGE-A TLUSNDQ-H-A 16.0570 2,030,750,734.40 16.0571 16.0570 +0.1618 +1.02 2/10/2026
TALIS US EQUITY NDQ-UNHEDGE-A TLUSNDQ-UH-A 13.6333 374,113,762.22 13.6334 13.6333 +0.0759 +0.56 2/10/2026
TALIS US EQUITY NDQ-UNHEDGE-X TLUSNDQ-UH-X 13.6412 258,697,339.02 13.6549 13.6003 +0.0759 +0.56 2/10/2026
TALIS WORLD STOCK FUND TLWORLD-X 11.6553 1,405,967,483.75 11.6671 11.6203 +0.0455 +0.39 2/10/2026
TALIS WORLD HIGH DIVIDEND YIELD FUND TLWORLDHD 9.8904 150,229,204.61 9.9857 9.8904 +0.0430 +0.44 2/10/2026
TALIS WORLD EX US FUND TLWORLDXUS-X 10.0102 83,259,072.18 10.0698 10.0102 +0.0687 +0.69 2/10/2026
Retirement Mutual Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change %Change Date Graph Table
AF US Wide MOAT Hedge Retirement Mutual Fund AFMOATHRMF 12.2962 32,856,599.07 12.2963 12.2962 +0.0264 +0.22 2/10/2026
MEGA 10 ARTIFICIAL INTELLIGENCE CHINA RETIREMENT MUTUAL FUND MEGA10AICHINARMF 8.9760 28,683,311.04 8.9761 8.9760 -0.1503 -1.65 2/10/2026
MEGA 10 ARTIFICIAL INTELLIGENCE RETIREMENT MUTUAL FUND MEGA10AIRMF 16.2992 128,276,085.92 16.2993 16.2992 +0.1408 +0.87 2/10/2026
MEGA 10 CHINA POPULAR CONSUMER BRAND RETIREMENT MUTUAL FUND MEGA10CHINAPOPRMF 7.2152 3,129,276.81 7.2153 7.2152 -0.1060 -1.45 2/10/2026
MEGA 10 CHINA RETIREMENT MUTUAL FUND MEGA10CHINARMF 11.8702 156,236,887.46 11.8703 11.8702 -0.2131 -1.76 2/10/2026
MEGA 10 CHINA TECHNOLOGY RETIREMENT MUTUAL FUND MEGA10CHINATECHRMF 7.2198 9,016,200.20 7.2199 7.2198 -0.1284 -1.75 2/10/2026
MEGA 10 CYBERSECURITY AND ENTERPRISE SOFTWARE FUND RETIREMENT MUTUAL FUND MEGA10CYBERRMF 9.7417 10,790,875.58 9.7418 9.7417 -0.0136 -0.14 2/10/2026
MEGA 10 EURO RETIREMENT MUTUAL FUND MEGA10EURORMF 10.8525 6,751,075.79 10.8526 10.8525 -0.0144 -0.13 2/10/2026
MEGA 10 HEALTHCARE RETIREMENT MUTUAL FUND MEGA10HEALTHRMF 11.6420 11,358,482.79 11.6421 11.6420 -0.0829 -0.71 2/10/2026
MEGA 10 RETIREMENT MUTUAL FUND MEGA10RMF 24.0264 411,870,508.77 24.0265 24.0264 +0.1351 +0.57 2/10/2026
MEGA WORLD 30 RETIREMENT MUTUAL FUND MEGAWORLD30RMF 13.2247 47,492,024.43 13.2248 13.2247 +0.0924 +0.70 2/10/2026
TALIS ALL WEATHER STRATEGY RETIREMENT MUTUAL FUND TLAWSRMF 12.9949 381,360,327.11 12.9950 12.9949 +0.0555 +0.43 2/10/2026
TALIS CORE WEALTH BALANCED ALLOCATION RETIREMENT MUTUAL FUND TLCOREWEALTHRMF 9.9281 8,245,803.48 9.9282 9.9281 -0.0003 +0.00 2/10/2026
TALIS DEFENSE TECH RETIREMENT MUTUAL FUND TLDEFENSERMF 8.7312 7,520,963.50 8.7313 8.7312 -0.0263 -0.30 2/10/2026
TALIS DIVIDEND STOCK RMF TLDIVRMF 11.6349 22,057,030.91 11.6350 11.6349 +0.0765 +0.66 2/10/2026
Talis Equity Retirement Mutual Fund TLEQRMF 8.5435 17,760,110.23 8.5436 8.5435 +0.0307 +0.36 2/10/2026
Talis Flexible Retirement Mutual Fund TLFLEXRMF 7.7475 42,836,847.46 7.7476 7.7475 +0.0289 +0.37 2/10/2026
Talis Money Market Retirement Mutual Fund TLMMRMF 10.9476 106,530,239.18 10.9477 10.9476 +0.0002 +0.00 2/10/2026
TALIS MID-SMALL CAP EQUITY RETIREMENT MUTUAL FUND TLMSEQRMF 6.4822 15,238,514.20 6.4823 6.4822 +0.0322 +0.50 2/10/2026
TALIS US EQUITY 500 RETIREMENT MUTUAL FUND TLUS500RMF 11.8341 81,530,728.81 11.8342 11.8341 +0.0349 +0.30 2/10/2026
TALIS US SHORT-TERM TREASURY BOND RETIREMENT MUTUAL FUND TLUSGOVRMF 10.1873 13,269,092.16 10.1874 10.1873 -0.0374 -0.37 2/10/2026
TALIS U.S. DIVIDEND EQUITY RETIREMENT MUTUAL FUND TLUSHDRMF 10.6702 48,796,661.09 10.6703 10.6702 -0.0286 -0.27 2/10/2026
TALIS U.S. LARGE-CAP GROWTH EQUITY RETIREMENT MUTUAL FUND TLUSHGRMF 10.7275 41,036,325.50 10.7276 10.7275 +0.0521 +0.49 2/10/2026
TALIS US EQUITY NDQ RETIREMENT MUTUAL FUND TLUSNDQRMF 12.4999 66,650,486.94 12.5000 12.4999 +0.0703 +0.57 2/10/2026
TALIS WORLD HIGH DIVIDEND YIELD RETIREMENT MUTUAL FUND TLWORLDHDRMF 9.8920 9,082,304.34 9.8921 9.8920 +0.0424 +0.43 2/10/2026
TALIS WORLD STOCK RETIREMENT MUTUAL FUND TLWORLDRMF 11.5933 127,378,113.74 11.5934 11.5933 +0.0451 +0.39 2/10/2026
TALIS WORLD EX US RETIREMENT MUTUAL FUND TLWORLDXUSRMF 9.9848 11,126,646.96 9.9849 9.9848 +0.0677 +0.68 2/10/2026
Super Saving Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change %Change Date Graph Table
AF US Wide MOAT Fund Hedged-SSF AFMOAT-HSSF 11.4163 22,823,758.05 11.4164 11.4163 +0.0261 +0.23 2/10/2026
MEGA 10 FUND-SSF MEGA10-SSF 23.8699 224,178,455.26 23.8700 23.8699 +0.1368 +0.58 2/10/2026
MEGA10AI FUND-SSF MEGA10AI-SSF 16.8031 47,825,958.26 16.8032 16.8031 +0.1446 +0.87 2/10/2026
MEGA 10 CHINA-SSF MEGA10CHINA-SSF 11.6432 64,897,625.25 11.6433 11.6432 -0.2088 -1.76 2/10/2026
MEGA 10 EURO-SSF MEGA10EURO-SSF 10.7289 3,189,467.55 10.7290 10.7289 -0.0133 -0.12 2/10/2026
MEGA WORLD 30-SSF MEGAWORLD30-SSF 13.9176 44,656,830.59 13.9177 13.9176 +0.0981 +0.71 2/10/2026
Talis Money Market Fund-SSF TLMMF-SSF 11.0759 24,219,158.11 11.0760 11.0759 +0.0002 +0.00 2/10/2026
Talis Mid-Small Cap Equity Fund-SSF TLMSEQ-SSF 11.8600 2,697,790.87 11.8601 11.8600 +0.0588 +0.50 2/10/2026
TALIS US EQUITY NDQ-HEDGE-SSF TLUSNDQ-H-SSF 16.0810 35,333,421.55 16.0811 16.0810 +0.1621 +1.02 2/10/2026
Thai ESG Fund for sustainability
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change %Change Date Graph Table
MEGA 20 THAILAND ESG FUND MEGA20THAIESG 10.0350 53,766,802.68 10.0351 10.0350 +0.1055 +1.06 2/10/2026
Thai ESGX
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change %Change Date Graph Table
MEGA 20 THAILAND ESG EXTRA FUND 80-20 C-L MEGATX8020C-L 11.5707 10,752,331.82 11.5708 11.5707 +0.0738 +0.64 2/10/2026
MEGA 20 THAILAND ESG EXTRA FUND 80-20 C-N MEGATX8020C-N 11.5707 89,910,513.77 11.5708 11.5707 +0.0737 +0.64 2/10/2026
MEGA 20 THAILAND ESG EXTRA FUND 80-20 C-T MEGATX8020C-T 11.5710 1,370,021.32 11.5711 11.5710 +0.0737 +0.64 2/10/2026
MEGA 20 THAILAND ESG EXTRA FUND 80-20 U-L MEGATX8020U-L 12.3566 9,853,365.81 12.3567 12.3566 +0.1229 +1.00 2/10/2026
MEGA 20 THAILAND ESG EXTRA FUND 80-20 U-N MEGATX8020U-N 12.3566 151,898,336.37 12.3567 12.3566 +0.1229 +1.00 2/10/2026
MEGA 20 THAILAND ESG EXTRA FUND 80-20 U-T MEGATX8020U-T 12.3570 1,751,593.19 12.3571 12.3570 +0.1228 +1.00 2/10/2026
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.