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 10.9882 877,814,327.21 10.9883 10.9882 +0.0003 +0.00 26/8/2025
Mixed Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change %Change Date Graph Table
Talis Flexible Fund TLFLEX 6.3596 38,782,281.42 6.4233 6.3596 -0.0109 -0.17 26/8/2025
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 7.9105 23,088,572.30 7.9897 7.9105 -0.0364 -0.46 26/8/2025
Talis Equity Fund TLEQ 6.1749 1,349,273.96 N/A N/A -0.0003 +0.00 22/8/2025
Talis Thai Equity CG Fund TLEQ-THAICG 6.4456 9,327,756.84 6.5102 6.4456 -0.0262 -0.40 26/8/2025
Talis Mid-Small Cap Equity Fund-A TLMSEQ-A 9.6287 91,669,527.78 9.7251 9.6287 -0.0544 -0.56 26/8/2025
TALIS SMALL CAP EQUITY FUND-A TLSMALLEQ-A 4.9201 3,636,787.96 4.9694 4.9201 -0.0197 -0.40 26/8/2025
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 11.0620 328,178,889.94 11.1727 11.0620 -0.0961 -0.86 25/8/2025
MEGA 10 FUND-A MEGA10-A 20.9708 578,090,890.17 21.1806 20.9708 -0.1226 -0.58 25/8/2025
MEGA 10 ARTIFICIAL INTELLIGENCE FUND-A MEGA10AI-A 12.6030 337,454,205.88 12.7291 12.6030 -0.0913 -0.72 25/8/2025
MEGA 10 ARTIFICAIL INTELLIGENCE CHINA FUND-A MEGA10AICHINA-A 11.7944 371,263,623.30 11.9124 11.7944 -0.1001 -0.84 26/8/2025
MEGA 10 CHINA FUND-A MEGA10CHINA-A 14.8692 3,225,869,348.53 15.0180 14.8692 -0.0691 -0.46 26/8/2025
MEGA 10 EURO FUND-A MEGA10EURO-A 9.7967 18,581,071.45 9.8948 9.7967 -0.0349 -0.35 25/8/2025
MEGA 10 HEALTHCARE FUND-A MEGA10HEALTH-A 10.3486 23,170,282.09 10.4781 10.3486 -0.2191 -2.07 25/8/2025
MEGA WORLD 30 FUND-A MEGAWORLD30-A 10.6813 125,773,726.07 10.7882 10.6813 -0.0785 -0.73 25/8/2025
TALIS FVMR ASIA PACIFIC EX JAPAN EX CHINA TLFVMR-ASIAX 9.7824 197,934,010.30 9.8803 9.7824 -0.1487 -1.50 25/8/2025
TALIS GLOBAL SELECT FUND TLGSELECT 10.3536 147,148,477.42 10.4831 10.3536 -0.0775 -0.74 25/8/2025
TALIS SEMICONDUCTOR-HEDGE TLSEMICON-H 10.8388 110,763,816.71 10.8389 10.8388 +0.2669 +2.52 22/8/2025
TALIS SEMICONDUCTOR-UNHEDGE TLSEMICON-UH 10.8391 113,376,236.01 10.8392 10.8391 +0.2824 +2.68 22/8/2025
TALIS EXPANDED TECH-HEDGE TLTECH-H 12.1485 1,471,417,520.23 12.1486 12.1485 -0.0134 -0.11 25/8/2025
TALIS EXPANDED TECH-UNHEDGE TLTECH-UH 11.8841 3,338,743,626.52 11.8842 11.8841 -0.0834 -0.70 25/8/2025
TALIS US EQUITY 500-HEDGE TLUS500-H 11.5534 118,547,996.33 11.5535 11.5534 -0.0569 -0.49 25/8/2025
TALIS US EQUITY 500-UNHEDGE TLUS500-UH 11.3005 116,661,347.68 11.3006 11.3005 -0.1236 -1.08 25/8/2025
TALIS US EQUITY NDQ-HEDGE-A TLUSNDQ-H-A 12.6403 622,075,895.86 12.6404 12.6403 -0.0440 -0.35 25/8/2025
TALIS US EQUITY NDQ-UNHEDGE TLUSNDQ-UH 10.0932 553,029,583.13 10.0933 10.0932 -0.0954 -0.94 25/8/2025
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 11.9798 33,646,240.84 11.9799 11.9798 -0.1025 -0.85 25/8/2025
MEGA 10 ARTIFICAIL INTELLIGENCE CHINA RETIREMENT MUTUAL FUND MEGA10AICHINARMF 11.4572 10,103,047.23 11.4573 11.4572 +0.2664 +2.38 25/8/2025
MEGA 10 ARTIFICIAL INTELLIGENCE RETIREMENT MUTUAL FUND MEGA10AIRMF 12.2908 61,272,951.31 12.2909 12.2908 -0.0847 -0.68 25/8/2025
MEGA 10 CHINA RETIREMENT MUTUAL FUND MEGA10CHINARMF 15.1812 171,556,943.23 15.1813 15.1812 -0.0698 -0.46 26/8/2025
MEGA 10 EURO RETIREMENT MUTUAL FUND MEGA10EURORMF 9.8281 5,356,898.39 9.8282 9.8281 -0.0338 -0.34 25/8/2025
MEGA 10 HEALTHCARE RETIREMENT MUTUAL FUND MEGA10HEALTHRMF 10.1350 2,752,376.13 10.1351 10.1350 -0.1850 -1.79 25/8/2025
MEGA 10 RETIREMENT MUTUAL FUND MEGA10RMF 21.0418 301,929,053.77 21.0419 21.0418 -0.1198 -0.57 25/8/2025
MEGA WORLD 30 RETIREMENT MUTUAL FUND MEGAWORLD30RMF 10.3816 11,495,276.95 10.3817 10.3816 -0.0685 -0.66 25/8/2025
TALIS DIVIDEND STOCK RMF TLDIVRMF 8.5064 18,959,938.95 8.5065 8.5064 -0.0422 -0.49 26/8/2025
Talis Equity Retirement Mutual Fund TLEQRMF 6.5489 17,146,956.49 6.5490 6.5489 -0.0403 -0.61 26/8/2025
Talis Flexible Retirement Mutual Fund TLFLEXRMF 6.1291 38,486,480.22 6.1292 6.1291 -0.0099 -0.16 26/8/2025
Talis Money Market Retirement Mutual Fund TLMMRMF 10.8563 89,295,205.87 10.8564 10.8563 +0.0003 +0.00 26/8/2025
TALIS MID-SMALL CAP EQUITY RETIREMENT MUTUAL FUND TLMSEQRMF 5.2341 15,027,023.73 5.2342 5.2341 -0.0294 -0.56 26/8/2025
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 11.0563 23,699,130.11 11.0564 11.0563 -0.0960 -0.86 25/8/2025
MEGA 10 FUND-SSF MEGA10-SSF 20.9678 204,350,929.43 20.9679 20.9678 -0.1226 -0.58 25/8/2025
MEGA10AI FUND-SSF MEGA10AI-SSF 12.5970 31,810,260.61 12.5971 12.5970 -0.0912 -0.72 25/8/2025
MEGA 10 CHINA-SSF MEGA10CHINA-SSF 14.8640 85,690,922.16 14.8641 14.8640 -0.0691 -0.46 26/8/2025
MEGA 10 EURO-SSF MEGA10EURO-SSF 9.7951 3,589,979.35 9.7952 9.7951 -0.0349 -0.36 25/8/2025
MEGA WORLD 30-SSF MEGAWORLD30-SSF 10.6805 29,685,353.59 10.6806 10.6805 -0.0785 -0.73 25/8/2025
Talis Money Market Fund-SSF TLMMF-SSF 10.9714 27,266,863.82 10.9715 10.9714 +0.0004 +0.00 26/8/2025
Talis Mid-Small Cap Equity Fund-SSF TLMSEQ-SSF 9.6189 1,305,383.88 9.6190 9.6189 -0.0543 -0.56 26/8/2025
TALIS SMALL CAP EQUITY FUND-SSF TLSMALLEQ-SSF 4.9158 991,962.51 4.9159 4.9158 -0.0196 -0.40 26/8/2025
TALIS US EQUITY NDQ-HEDGE-SSF TLUSNDQ-H-SSF 12.6590 20,727,850.68 12.6591 12.6590 -0.0440 -0.35 25/8/2025
Long Term Equity Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change %Change Date Graph Table
TALIS DIVIDEND STOCK LTF-D TLDIVLTF-D 8.0581 12,830,825.13 8.0582 8.0581 -0.0341 -0.42 26/8/2025
Talis Long Term Equity Fund TLLTFEQ 6.5678 45,313,646.76 6.5679 6.5678 -0.0400 -0.61 26/8/2025
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 8.2150 35,153,844.48 8.2151 8.2150 -0.1038 -1.25 26/8/2025
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 10.0511 9,340,247.37 10.0512 10.0511 -0.1141 -1.12 26/8/2025
MEGA 20 THAILAND ESG EXTRA FUND 80-20 C-N MEGATX8020C-N 10.0512 78,697,335.13 10.0513 10.0512 -0.1140 -1.12 26/8/2025
MEGA 20 THAILAND ESG EXTRA FUND 80-20 U-L MEGATX8020U-L 10.2665 7,025,429.68 10.2666 10.2665 +0.0631 +0.62 25/8/2025
MEGA 20 THAILAND ESG EXTRA FUND 80-20 U-N MEGATX8020U-N 10.2666 124,844,610.01 10.2667 10.2666 +0.0632 +0.62 25/8/2025
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.