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Year to date
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6 Months
1 Year
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
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
4/12/2024
8.0394
65,145,505.68
8.1199
8.0394
+0.0043
3/12/2024
8.0351
65,220,182.98
8.1156
8.0351
+0.0988
2/12/2024
7.9363
64,418,322.89
8.0158
7.9363
+0.0524
29/11/2024
7.8839
63,992,771.50
7.9628
7.8839
+0.0056
28/11/2024
7.8783
65,106,337.30
7.9572
7.8783
+0.0068
27/11/2024
7.8715
65,049,716.60
7.9503
7.8715
-0.0405
26/11/2024
7.9120
65,384,253.83
7.9912
7.9120
-0.0489
25/11/2024
7.9609
65,788,975.60
8.0406
7.9609
-0.0289
22/11/2024
7.9898
66,027,491.63
8.0698
7.9898
+0.0274
21/11/2024
7.9624
65,781,067.82
8.0421
7.9624
-0.0183
20/11/2024
7.9807
65,932,062.63
8.0606
7.9807
-0.0328
19/11/2024
8.0135
66,203,707.84
8.0937
8.0135
+0.0300
18/11/2024
7.9835
65,955,863.72
8.0634
7.9835
-0.0174
15/11/2024
8.0009
66,084,754.89
8.0810
8.0009
-0.0922
14/11/2024
8.0931
66,845,665.11
8.1741
8.0931
-0.0799
13/11/2024
8.1730
67,506,130.20
8.2548
8.1730
+0.0207
12/11/2024
8.1523
67,334,612.24
8.2339
8.1523
-0.1303
11/11/2024
8.2826
68,411,289.80
8.3655
8.2826
-0.1240
8/11/2024
8.4066
69,428,959.47
8.4908
8.4066
+0.0156
7/11/2024
8.3910
69,300,381.27
8.4750
8.3910
-0.0345
6/11/2024
8.4255
69,584,649.50
8.5099
8.4255
-0.0718
5/11/2024
8.4973
70,177,776.66
8.5824
8.4973
+0.0745
4/11/2024
8.4228
69,765,494.34
8.5071
8.4228
-0.0681
1/11/2024
8.4909
70,329,590.27
8.5759
8.4909
-0.0369
31/10/2024
8.5278
70,632,989.50
8.6132
8.5278
+0.1576
30/10/2024
8.3702
69,328,305.48
8.4540
8.3702
+0.0063
29/10/2024
8.3639
69,275,714.39
8.4476
8.3639
-0.0637
28/10/2024
8.4276
69,802,958.82
8.5120
8.4276
-0.0302
25/10/2024
8.4578
70,053,456.57
8.5425
8.4578
-0.0149
24/10/2024
8.4727
70,176,770.99
8.5575
8.4727
-0.0371
22/10/2024
8.5098
70,484,068.88
8.5950
8.5098
-0.1703
21/10/2024
8.6801
71,895,016.11
8.7670
8.6801
+0.0233
18/10/2024
8.6568
71,681,881.11
8.7435
8.6568
-0.0610
17/10/2024
8.7178
72,187,225.11
8.8051
8.7178
+0.0082
16/10/2024
8.7096
72,119,183.33
8.7968
8.7096
+0.1108
15/10/2024
8.5988
71,187,136.16
8.6849
8.5988
-0.0629
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.