Talis Flexible Fund
Date NAV Total Net Asset Value(THB) Offer Bid Change
20/8/2025 6.3697 38,843,996.58 6.4335 6.3697 +0.0393
19/8/2025 6.3304 38,574,482.21 6.3938 6.3304 +0.0120
18/8/2025 6.3184 38,501,627.96 6.3817 6.3184 -0.0300
15/8/2025 6.3484 38,669,693.67 6.4120 6.3484 -0.0068
14/8/2025 6.3552 38,780,754.49 6.4189 6.3552 -0.0201
13/8/2025 6.3753 38,903,715.43 6.4392 6.3753 +0.0137
8/8/2025 6.3616 38,819,842.43 6.4253 6.3616 -0.0097
7/8/2025 6.3713 38,879,341.02 6.4351 6.3713 +0.0356
6/8/2025 6.3357 38,662,216.04 6.3992 6.3357 +0.0508
5/8/2025 6.2849 38,352,055.02 6.3478 6.2849 +0.0436
4/8/2025 6.2413 38,085,920.65 6.3038 6.2413 +0.0220
1/8/2025 6.2193 37,951,367.76 6.2816 6.2193 -0.0535
31/7/2025 6.2728 38,278,051.23 6.3356 6.2728 -0.0040
30/7/2025 6.2768 38,302,505.05 6.3397 6.2768 +0.0152
29/7/2025 6.2616 38,209,466.88 6.3243 6.2616 +0.0403
25/7/2025 6.2213 37,963,566.88 6.2836 6.2213 -0.0086
24/7/2025 6.2299 38,016,202.76 6.2923 6.2299 -0.0231
23/7/2025 6.2530 38,157,293.80 6.3156 6.2530 +0.0775
22/7/2025 6.1755 37,684,249.53 6.2374 6.1755 -0.0593
21/7/2025 6.2348 38,045,417.94 6.2972 6.2348 +0.0053
18/7/2025 6.2295 38,013,146.98 6.2919 6.2295 +0.0121
17/7/2025 6.2174 37,937,100.88 6.2797 6.2174 +0.0506
16/7/2025 6.1668 37,628,460.03 6.2286 6.1668 -0.0151
15/7/2025 6.1819 37,705,633.74 6.2438 6.1819 +0.0394
14/7/2025 6.1425 39,037,037.74 6.2040 6.1425 +0.0224
11/7/2025 6.1201 38,894,676.41 6.1814 6.1201 +0.0143
9/7/2025 6.1058 38,803,569.30 6.1670 6.1058 +0.0008
8/7/2025 6.1050 38,798,468.47 6.1662 6.1050 -0.0330
7/7/2025 6.1380 39,007,941.58 6.1995 6.1380 +0.0258
4/7/2025 6.1122 38,844,222.43 6.1734 6.1122 -0.0153
3/7/2025 6.1275 38,940,719.76 6.1889 6.1275 +0.0461
2/7/2025 6.0814 38,650,268.12 6.1423 6.0814 +0.0194
1/7/2025 6.0620 38,526,954.35 6.1227 6.0620 +0.0379
30/6/2025 6.0241 38,346,243.84 6.0844 6.0241 +0.0331
27/6/2025 5.9910 38,134,985.28 6.0510 5.9910 -0.0678
26/6/2025 6.0588 38,566,905.69 6.1195 6.0588 +0.0148
25/6/2025 6.0440 38,472,898.66 6.1045 6.0440 -0.0029
24/6/2025 6.0469 38,490,890.04 6.1075 6.0469 +0.1247
23/6/2025 5.9222 37,697,603.16 5.9815 5.9222 -0.0157
20/6/2025 5.9379 37,797,346.62 5.9974 5.9379 -0.0013
19/6/2025 5.9392 39,314,332.43 5.9987 5.9392 -0.1466
18/6/2025 6.0858 40,284,665.20 6.1468 6.0858 -0.0757
17/6/2025 6.1615 40,786,128.94 6.2232 6.1615 -0.0030
16/6/2025 6.1645 40,790,979.71 6.2262 6.1645 -0.0380
13/6/2025 6.2025 41,042,085.33 6.2646 6.2025 -0.0085
12/6/2025 6.2110 42,676,167.96 6.2732 6.2110 -0.0469
11/6/2025 6.2579 42,998,854.15 6.3206 6.2579 +0.0044
10/6/2025 6.2535 42,968,492.35 6.3161 6.2535 +0.0109
9/6/2025 6.2426 42,912,252.79 6.3051 6.2426 -0.0216
6/6/2025 6.2642 43,060,426.91 6.3269 6.2642 -0.0086
5/6/2025 6.2728 43,119,821.32 6.3356 6.2728 +0.0150
4/6/2025 6.2578 43,196,468.45 6.3205 6.2578 -0.0367
30/5/2025 6.2945 43,449,991.70 6.3575 6.2945 -0.0351
29/5/2025 6.3296 43,692,375.43 6.3930 6.3296 -0.0016
28/5/2025 6.3312 43,703,281.11 6.3946 6.3312 -0.0001
27/5/2025 6.3313 43,704,008.01 6.3947 6.3313 -0.0591
26/5/2025 6.3904 44,112,166.19 6.4544 6.3904 -0.0107
23/5/2025 6.4011 44,291,484.83 6.4652 6.4011 +0.0091
22/5/2025 6.3920 44,228,555.87 6.4560 6.3920 -0.0337
21/5/2025 6.4257 44,462,085.70 6.4901 6.4257 -0.0573
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.
•  The bid price as at 17/10/2016 of Talis Flexible Fund has been corrected and announced on 18/10/2016 due to the reduction of front-end fee rate from 1.5% to 1.0% of NAV during 17/10/2016 - 30/11/2016.