Talis Money Market Retirement Mutual Fund
Date NAV Total Net Asset Value(THB) Offer Bid Change
17/5/2024 10.6302 40,955,220.69 10.6303 10.6302 +0.0006
16/5/2024 10.6296 40,976,590.04 10.6297 10.6296 +0.0006
15/5/2024 10.6290 40,971,379.69 10.6291 10.6290 +0.0005
14/5/2024 10.6285 40,966,438.49 10.6286 10.6285 +0.0006
13/5/2024 10.6279 40,909,266.98 10.6280 10.6279 +0.0017
10/5/2024 10.6262 40,966,531.95 10.6263 10.6262 +0.0006
9/5/2024 10.6256 40,979,983.38 10.6257 10.6256 +0.0005
8/5/2024 10.6251 41,033,528.96 10.6252 10.6251 +0.0004
7/5/2024 10.6247 42,724,923.58 10.6248 10.6247 +0.0023
3/5/2024 10.6224 42,702,651.04 10.6225 10.6224 +0.0005
2/5/2024 10.6219 42,441,057.91 10.6220 10.6219 +0.0012
30/4/2024 10.6207 42,759,947.32 10.6208 10.6207 +0.0005
29/4/2024 10.6202 42,433,395.72 10.6203 10.6202 +0.0017
26/4/2024 10.6185 42,439,820.81 10.6186 10.6185 +0.0006
25/4/2024 10.6179 42,491,851.18 10.6180 10.6179 +0.0005
24/4/2024 10.6174 41,993,359.10 10.6175 10.6174 +0.0006
23/4/2024 10.6168 42,083,223.65 10.6169 10.6168 +0.0006
22/4/2024 10.6162 42,257,719.04 10.6163 10.6162 +0.0016
19/4/2024 10.6146 42,298,941.20 10.6147 10.6146 +0.0006
18/4/2024 10.6140 41,859,505.34 10.6141 10.6140 +0.0005
17/4/2024 10.6135 41,876,746.52 10.6136 10.6135 +0.0034
11/4/2024 10.6101 41,755,252.44 10.6102 10.6101 +0.0006
10/4/2024 10.6095 40,086,284.30 10.6096 10.6095 +0.0006
9/4/2024 10.6089 40,089,208.49 10.6090 10.6089 +0.0021
5/4/2024 10.6068 40,139,997.43 10.6069 10.6068 +0.0007
4/4/2024 10.6061 40,240,998.84 10.6062 10.6061 +0.0007
3/4/2024 10.6054 38,907,653.57 10.6055 10.6054 +0.0005
2/4/2024 10.6049 38,918,709.17 10.6050 10.6049 +0.0006
1/4/2024 10.6043 39,414,795.30 10.6044 10.6043 +0.0016
29/3/2024 10.6027 39,259,891.73 10.6028 10.6027 +0.0005
28/3/2024 10.6022 39,316,099.71 10.6023 10.6022 +0.0006
27/3/2024 10.6016 38,514,317.43 10.6017 10.6016 +0.0005
26/3/2024 10.6011 38,522,542.22 10.6012 10.6011 +0.0006
25/3/2024 10.6005 38,579,237.12 10.6006 10.6005 +0.0017
22/3/2024 10.5988 38,690,138.06 10.5989 10.5988 +0.0003
21/3/2024 10.5985 38,830,584.66 10.5986 10.5985 +0.0008
20/3/2024 10.5977 38,746,415.57 10.5978 10.5977 +0.0005
19/3/2024 10.5972 39,901,365.35 10.5973 10.5972 +0.0005
18/3/2024 10.5967 38,870,588.79 10.5968 10.5967 +0.0017
15/3/2024 10.5950 38,756,126.38 10.5951 10.5950 +0.0005
14/3/2024 10.5945 38,139,274.42 10.5946 10.5945 +0.0006
13/3/2024 10.5939 37,907,914.63 10.5940 10.5939 +0.0005
12/3/2024 10.5934 37,966,606.94 10.5935 10.5934 +0.0005
11/3/2024 10.5929 37,954,249.71 10.5930 10.5929 +0.0016
8/3/2024 10.5913 37,907,467.86 10.5914 10.5913 +0.0006
7/3/2024 10.5907 37,761,580.68 10.5908 10.5907 +0.0005
6/3/2024 10.5902 37,801,997.95 10.5903 10.5902 -0.0004
5/3/2024 10.5906 37,806,807.74 10.5907 10.5906 +0.0005
4/3/2024 10.5901 37,819,302.42 10.5902 10.5901 +0.0016
1/3/2024 10.5885 37,824,146.32 10.5886 10.5885 +0.0006
29/2/2024 10.5879 37,358,575.64 10.5880 10.5879 +0.0005
28/2/2024 10.5874 37,322,800.54 10.5875 10.5874 +0.0005
27/2/2024 10.5869 37,327,479.44 10.5870 10.5869 +0.0022
23/2/2024 10.5847 37,590,620.95 10.5848 10.5847 +0.0006
22/2/2024 10.5841 37,319,402.42 10.5842 10.5841 +0.0005
21/2/2024 10.5836 37,378,732.81 10.5837 10.5836 +0.0005
20/2/2024 10.5831 37,287,580.28 10.5832 10.5831 +0.0005
19/2/2024 10.5826 37,297,862.26 10.5827 10.5826 +0.0016
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.