Money Market
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change Date Graph Table
Talis Money Market Fund-A TLMMF-A 10.7264 538,203,438.47 10.7265 10.7264 +0.0006 19/4/2024
Mixed Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change Date Graph Table
Talis Flexible Fund TLFLEX 8.4601 100,784,843.20 8.5448 8.4601 -0.2491 19/4/2024
Equity Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change Date Graph Table
Talis Equity Fund TLEQ 8.3334 3,227,330.66 8.4168 8.3334 -0.2397 19/4/2024
Talis Mid-Small Cap Equity Fund-A TLMSEQ-A 14.2272 189,314,085.20 14.3696 14.2272 -0.3718 19/4/2024
Talis Thai Equity CG Fund TLEQ-THAICG 7.0880 11,730,928.60 7.1590 7.0880 -0.1657 19/4/2024
TALIS DIVIDEND STOCK EQUITY FUND-D TLDIVEQ-D 8.3563 38,679,252.47 8.4400 8.3563 -0.1456 19/4/2024
TALIS SMALL CAP EQUITY FUND-A TLSMALLEQ-A 7.1607 8,592,379.30 7.2324 7.1607 -0.1851 19/4/2024
Foreign Investment Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change Date Graph Table
AF US Wide MOAT Fund Hedged A AFMOAT-HA 10.0804 1,189,475,894.75 10.1813 10.0804 -0.0182 18/4/2024
MEGA 10 CHINA FUND-A MEGA10CHINA-A 10.0410 629,228,162.31 10.1415 10.0410 -0.1005 19/4/2024
MEGA 10 FUND-A MEGA10-A 16.3837 224,156,980.69 16.5476 16.3837 -0.0901 18/4/2024
TALIS FVMR ASIA PACIFIC EX JAPAN EX CHINA TLFVMR-ASIAX 9.5972 18,029,885.81 9.6933 9.5972 +0.0169 18/4/2024
TALIS US EQUITY NDQ-HEDGE-A TLUSNDQ-H-A 9.8490 1,728,481,925.78 9.8491 9.8490 -0.0575 18/4/2024
Retirement Mutual Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change Date Graph Table
Talis Money Market Retirement Mutual Fund TLMMRMF 10.6146 42,298,941.20 10.6147 10.6146 +0.0006 19/4/2024
Talis Flexible Retirement Mutual Fund TLFLEXRMF 8.1525 60,607,562.87 8.1526 8.1525 -0.2412 19/4/2024
Talis Equity Retirement Mutual Fund TLEQRMF 8.7449 25,723,412.32 8.7450 8.7449 -0.2527 19/4/2024
TALIS DIVIDEND STOCK RMF TLDIVRMF 9.0214 17,448,981.51 9.0215 9.0214 -0.1598 19/4/2024
AF US Wide MOAT Hedge Retirement Mutual Fund AFMOATHRMF 10.9382 21,978,696.01 10.9383 10.9382 -0.0204 18/4/2024
MEGA 10 CHINA RETIREMENT MUTUAL FUND MEGA10CHINARMF 10.1493 49,748,225.98 10.1494 10.1493 -0.1010 19/4/2024
MEGA 10 RETIREMENT MUTUAL FUND MEGA10RMF 16.4490 145,030,067.17 16.4491 16.4490 -0.0881 18/4/2024
TALIS MID-SMALL CAP EQUITY RETIREMENT MUTUAL FUND TLMSEQRMF 7.6222 25,034,707.09 7.6223 7.6222 -0.1988 19/4/2024
Super Saving Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change Date Graph Table
AF US Wide MOAT Fund Hedged-SSF AFMOAT-HSSF 10.0798 14,107,047.32 10.0799 10.0798 -0.0181 18/4/2024
MEGA 10 CHINA-SSF MEGA10CHINA-SSF 10.0391 36,450,063.16 10.0392 10.0391 -0.1005 19/4/2024
MEGA 10 FUND-SSF MEGA10-SSF 16.3849 113,198,815.05 16.3850 16.3849 -0.0901 18/4/2024
Talis Mid-Small Cap Equity Fund-SSF TLMSEQ-SSF 14.2153 1,571,825.55 14.2154 14.2153 -0.3715 19/4/2024
Talis Money Market Fund-SSF TLMMF-SSF 10.7163 6,465,831.56 10.7164 10.7163 +0.0006 19/4/2024
TALIS SMALL CAP EQUITY FUND-SSF TLSMALLEQ-SSF 7.1550 1,130,983.49 7.1551 7.1550 -0.1851 19/4/2024
TALIS US EQUITY NDQ-HEDGE-SSF TLUSNDQ-H-SSF 9.8618 10,609,282.53 9.8619 9.8618 -0.0576 18/4/2024
Long Term Equity Fund
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change Date Graph Table
Talis Long Term Equity Fund TLLTFEQ 8.8792 117,144,028.81 8.8793 8.8792 -0.2596 19/4/2024
TALIS DIVIDEND STOCK LTF-D TLDIVLTF-D 8.5251 23,106,666.26 8.5252 8.5251 -0.1491 19/4/2024
Thai ESG Fund for sustainability
Fund Name Short Name NAV. Total Net Asset Value Offer Bid Change Date Graph Table
MEGA 20 THAILAND ESG FUND MEGA20THAIESG 9.3940 18,449,318.72 9.3941 9.3940 -0.1471 19/4/2024
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.