Talis Flexible Fund
Date NAV Total Net Asset Value(THB) Offer Bid Change
25/12/2025 5.9283 33,303,776.76 5.9877 5.9283 -0.0627
24/12/2025 5.9910 33,656,243.47 6.0510 5.9910 -0.0113
23/12/2025 6.0023 33,729,357.07 6.0624 6.0023 -0.0013
22/12/2025 6.0036 33,736,707.18 6.0637 6.0036 +0.0199
19/12/2025 5.9837 33,624,921.59 6.0436 5.9837 +0.0256
18/12/2025 5.9581 33,481,280.70 6.0178 5.9581 -0.0471
17/12/2025 6.0052 33,745,690.82 6.0654 6.0052 +0.0118
16/12/2025 5.9934 33,679,684.31 6.0534 5.9934 -0.0194
15/12/2025 6.0128 33,772,845.60 6.0730 6.0128 +0.0524
12/12/2025 5.9604 33,478,408.06 6.0201 5.9604 +0.0510
11/12/2025 5.9094 33,192,098.70 5.9686 5.9094 -0.0457
9/12/2025 5.9551 33,448,404.18 6.0148 5.9551 +0.0214
8/12/2025 5.9337 33,328,506.65 5.9931 5.9337 -0.0727
4/12/2025 6.0064 35,520,534.06 6.0666 6.0064 -0.0264
3/12/2025 6.0328 35,677,174.57 6.0932 6.0328 -0.0217
2/12/2025 6.0545 35,807,178.27 6.1151 6.0545 -0.0193
1/12/2025 6.0738 35,931,465.49 6.1346 6.0738 +0.0803
28/11/2025 5.9935 35,456,363.95 6.0535 5.9935 +0.0140
27/11/2025 5.9795 35,373,568.40 6.0394 5.9795 -0.0017
26/11/2025 5.9812 35,383,388.72 6.0411 5.9812 -0.0326
25/11/2025 6.0138 35,576,280.24 6.0740 6.0138 +0.0160
24/11/2025 5.9978 35,481,588.02 6.0579 5.9978 -0.0040
21/11/2025 6.0018 35,505,043.57 6.0619 6.0018 -0.1009
20/11/2025 6.1027 36,102,278.53 6.1638 6.1027 +0.0325
19/11/2025 6.0702 35,980,194.88 6.1310 6.0702 -0.0384
18/11/2025 6.1086 36,210,430.56 6.1698 6.1086 -0.0239
17/11/2025 6.1325 36,337,512.01 6.1939 6.1325 +0.0673
14/11/2025 6.0652 35,938,353.34 6.1260 6.0652 -0.0334
13/11/2025 6.0986 36,136,252.18 6.1597 6.0986 -0.0608
12/11/2025 6.1594 37,229,675.57 6.2211 6.1594 -0.0647
11/11/2025 6.2241 37,620,283.91 6.2864 6.2241 -0.0452
10/11/2025 6.2693 37,893,500.51 6.3321 6.2693 +0.0087
7/11/2025 6.2606 37,841,217.01 6.3233 6.2606 -0.0284
6/11/2025 6.2890 38,012,877.21 6.3520 6.2890 +0.0457
5/11/2025 6.2433 37,736,531.97 6.3058 6.2433 -0.0402
4/11/2025 6.2835 37,979,408.97 6.3464 6.2835 -0.0491
3/11/2025 6.3326 38,276,273.81 6.3960 6.3326 -0.0268
31/10/2025 6.3594 38,438,214.11 6.4231 6.3594 -0.0201
30/10/2025 6.3795 38,559,672.41 6.4434 6.3795 +0.0257
29/10/2025 6.3538 38,404,158.88 6.4174 6.3538 -0.0262
28/10/2025 6.3800 38,561,636.85 6.4439 6.3800 -0.0237
27/10/2025 6.4037 38,705,288.18 6.4678 6.4037 +0.0012
24/10/2025 6.4025 38,697,947.95 6.4666 6.4025 +0.0272
22/10/2025 6.3753 38,533,363.47 6.4392 6.3753 +0.0274
21/10/2025 6.3479 38,367,462.75 6.4115 6.3479 +0.0144
20/10/2025 6.3335 38,280,477.38 6.3969 6.3335 +0.0218
17/10/2025 6.3117 38,149,239.37 6.3749 6.3117 -0.0346
16/10/2025 6.3463 38,358,080.00 6.4099 6.3463 -0.0101
15/10/2025 6.3564 38,404,510.94 6.4201 6.3564 +0.0622
14/10/2025 6.2942 38,121,072.95 6.3572 6.2942 -0.0935
10/10/2025 6.3877 38,687,626.00 6.4517 6.3877 -0.0239
9/10/2025 6.4116 38,832,379.86 6.4758 6.4116 +0.0435
8/10/2025 6.3681 38,568,900.19 6.4319 6.3681 -0.0185
7/10/2025 6.3866 38,686,659.28 6.4506 6.3866 +0.0407
6/10/2025 6.3459 38,440,535.64 6.4095 6.3459 +0.0044
3/10/2025 6.3415 38,413,573.49 6.4050 6.3415 +0.0002
2/10/2025 6.3413 38,410,720.75 6.4048 6.3413 +0.0321
1/10/2025 6.3092 38,215,787.65 6.3724 6.3092 -0.0487
30/9/2025 6.3579 38,511,249.41 6.4216 6.3579 -0.0286
29/9/2025 6.3865 38,684,429.23 6.4505 6.3865 -0.0067
26/9/2025 6.3932 38,724,733.34 6.4572 6.3932 -0.0057
25/9/2025 6.3989 38,759,357.81 6.4630 6.3989 +0.0152
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.