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3 Years
Since Inception
Since Date
Since Date
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Talis Flexible Fund
Date
NAV
Total Net Asset Value(THB)
Offer
Bid
Change
6/3/2025
6.6115
47,572,786.06
6.6777
6.6115
-0.0644
5/3/2025
6.6759
48,035,803.54
6.7428
6.6759
+0.1484
4/3/2025
6.5275
46,968,237.60
6.5929
6.5275
-0.0264
3/3/2025
6.5539
47,158,420.29
6.6195
6.5539
-0.0779
28/2/2025
6.6318
47,718,982.24
6.6982
6.6318
-0.0351
27/2/2025
6.6669
47,971,143.56
6.7337
6.6669
-0.1176
26/2/2025
6.7845
48,817,390.61
6.8524
6.7845
+0.0824
25/2/2025
6.7021
48,224,506.94
6.7692
6.7021
-0.1692
24/2/2025
6.8713
49,442,432.06
6.9401
6.8713
-0.0584
21/2/2025
6.9297
49,862,663.11
6.9991
6.9297
-0.0122
20/2/2025
6.9419
49,949,953.69
7.0114
6.9419
-0.0721
19/2/2025
7.0140
50,468,683.78
7.0842
7.0140
+0.0161
18/2/2025
6.9979
50,353,067.10
7.0680
6.9979
+0.0599
17/2/2025
6.9380
49,907,095.64
7.0075
6.9380
+0.0706
14/2/2025
6.8674
49,399,546.91
6.9362
6.8674
+0.0201
13/2/2025
6.8473
49,254,867.91
6.9159
6.8473
-0.0096
11/2/2025
6.8569
49,323,528.09
6.9256
6.8569
+0.0833
10/2/2025
6.7736
48,724,325.35
6.8414
6.7736
-0.0257
7/2/2025
6.7993
48,909,649.61
6.8674
6.7993
+0.1177
6/2/2025
6.6816
48,062,901.08
6.7485
6.6816
-0.1644
5/2/2025
6.8460
49,245,388.52
6.9146
6.8460
-0.0670
4/2/2025
6.9130
49,827,695.39
6.9822
6.9130
-0.0287
3/2/2025
6.9417
50,034,481.17
7.0112
6.9417
-0.0694
31/1/2025
7.0111
50,534,459.73
7.0813
7.0111
-0.1627
30/1/2025
7.1738
51,706,857.13
7.2456
7.1738
+0.0033
29/1/2025
7.1705
51,683,704.01
7.2423
7.1705
-0.0124
28/1/2025
7.1829
51,934,272.86
7.2548
7.1829
+0.0548
27/1/2025
7.1281
51,538,152.56
7.1995
7.1281
-0.0611
24/1/2025
7.1892
52,015,222.13
7.2612
7.1892
+0.0151
23/1/2025
7.1741
51,920,249.82
7.2459
7.1741
-0.0609
22/1/2025
7.2350
52,361,415.18
7.3075
7.2350
+0.0180
21/1/2025
7.2170
52,230,984.05
7.2893
7.2170
+0.0801
20/1/2025
7.1369
51,651,383.25
7.2084
7.1369
+0.0020
17/1/2025
7.1349
51,636,436.75
7.2063
7.1349
-0.0945
16/1/2025
7.2294
52,319,766.39
7.3018
7.2294
-0.0289
15/1/2025
7.2583
52,513,861.08
7.3310
7.2583
+0.0599
14/1/2025
7.1984
52,080,260.33
7.2705
7.1984
-0.0860
13/1/2025
7.2844
55,540,534.66
7.3573
7.2844
-0.0540
10/1/2025
7.3384
55,951,595.19
7.4119
7.3384
-0.0189
9/1/2025
7.3573
57,920,800.10
7.4310
7.3573
-0.2121
8/1/2025
7.5694
59,590,576.35
7.6452
7.5694
-0.1152
7/1/2025
7.6846
60,497,421.78
7.7615
7.6846
+0.0527
6/1/2025
7.6319
60,082,686.20
7.7083
7.6319
-0.0663
3/1/2025
7.6982
60,604,708.73
7.7753
7.6982
-0.0485
2/1/2025
7.7467
62,986,562.38
7.8243
7.7467
-0.0243
30/12/2024
7.7710
63,184,033.56
7.8488
7.7710
+0.0316
27/12/2024
7.7394
62,926,680.31
7.8169
7.7394
+0.0259
26/12/2024
7.7135
62,716,749.86
7.7907
7.7135
-0.0243
25/12/2024
7.7378
62,914,054.08
7.8153
7.7378
+0.0428
24/12/2024
7.6950
62,566,043.36
7.7721
7.6950
+0.0507
23/12/2024
7.6443
62,154,036.51
7.7208
7.6443
+0.1309
20/12/2024
7.5134
61,089,134.37
7.5886
7.5134
-0.0508
19/12/2024
7.5642
61,502,336.51
7.6399
7.5642
-0.0671
18/12/2024
7.6313
62,048,322.97
7.7077
7.6313
+0.0005
17/12/2024
7.6308
62,044,344.81
7.7072
7.6308
-0.1689
16/12/2024
7.7997
63,402,393.15
7.8778
7.7997
-0.0717
13/12/2024
7.8714
64,297,339.34
7.9502
7.8714
-0.0370
12/12/2024
7.9084
64,599,371.78
7.9876
7.9084
-0.0484
11/12/2024
7.9568
64,477,262.93
8.0365
7.9568
-0.0221
9/12/2024
7.9789
64,655,695.60
8.0588
7.9789
-0.0405
6/12/2024
8.0194
64,983,778.19
8.0997
8.0194
-0.0200
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.