Talis Money Market Retirement Mutual Fund
Date NAV Total Net Asset Value(THB) Offer Bid Change
17/10/2025 10.8735 72,238,575.32 10.8736 10.8735 +0.0002
16/10/2025 10.8733 71,042,191.88 10.8734 10.8733 +0.0003
15/10/2025 10.8730 70,990,636.76 10.8731 10.8730 +0.0003
14/10/2025 10.8727 71,018,020.54 10.8728 10.8727 +0.0013
10/10/2025 10.8714 71,688,510.88 10.8715 10.8714 +0.0003
9/10/2025 10.8711 71,959,351.54 10.8712 10.8711 +0.0003
8/10/2025 10.8708 71,897,580.74 10.8709 10.8708 +0.0003
7/10/2025 10.8705 71,947,461.05 10.8706 10.8705 +0.0003
6/10/2025 10.8702 73,123,374.13 10.8703 10.8702 +0.0010
3/10/2025 10.8692 75,956,395.12 10.8693 10.8692 +0.0004
2/10/2025 10.8688 77,179,687.25 10.8689 10.8688 +0.0003
1/10/2025 10.8685 77,090,313.79 10.8686 10.8685 +0.0003
30/9/2025 10.8682 76,884,780.44 10.8683 10.8682 +0.0003
29/9/2025 10.8679 77,005,445.98 10.8680 10.8679 +0.0010
26/9/2025 10.8669 77,167,515.49 10.8670 10.8669 +0.0003
25/9/2025 10.8666 79,127,305.98 10.8667 10.8666 +0.0005
24/9/2025 10.8661 82,061,074.88 10.8662 10.8661 +0.0004
23/9/2025 10.8657 84,524,050.02 10.8658 10.8657 +0.0003
22/9/2025 10.8654 84,967,545.36 10.8655 10.8654 +0.0010
19/9/2025 10.8644 83,843,824.57 10.8645 10.8644 +0.0004
18/9/2025 10.8640 84,738,058.62 10.8641 10.8640 +0.0003
17/9/2025 10.8637 85,037,975.63 10.8638 10.8637 +0.0004
16/9/2025 10.8633 85,535,235.66 10.8634 10.8633 +0.0003
15/9/2025 10.8630 86,280,801.90 10.8631 10.8630 +0.0010
12/9/2025 10.8620 87,148,546.85 10.8621 10.8620 +0.0004
11/9/2025 10.8616 87,843,572.64 10.8617 10.8616 +0.0003
10/9/2025 10.8613 88,129,127.87 10.8614 10.8613 +0.0003
9/9/2025 10.8610 87,604,133.57 10.8611 10.8610 +0.0004
8/9/2025 10.8606 87,494,370.48 10.8607 10.8606 +0.0010
5/9/2025 10.8596 87,900,443.56 10.8597 10.8596 +0.0003
4/9/2025 10.8593 88,375,259.40 10.8594 10.8593 +0.0004
3/9/2025 10.8589 88,058,669.55 10.8590 10.8589 +0.0003
2/9/2025 10.8586 87,934,105.61 10.8587 10.8586 +0.0003
1/9/2025 10.8583 88,186,024.06 10.8584 10.8583 +0.0010
29/8/2025 10.8573 88,381,676.75 10.8574 10.8573 +0.0004
28/8/2025 10.8569 88,110,103.97 10.8570 10.8569 +0.0003
27/8/2025 10.8566 88,084,412.40 10.8567 10.8566 +0.0003
26/8/2025 10.8563 89,295,205.87 10.8564 10.8563 +0.0003
25/8/2025 10.8560 88,507,563.11 10.8561 10.8560 +0.0010
22/8/2025 10.8550 87,473,886.62 10.8551 10.8550 +0.0004
21/8/2025 10.8546 87,002,064.39 10.8547 10.8546 +0.0003
20/8/2025 10.8543 88,247,776.02 10.8544 10.8543 +0.0003
19/8/2025 10.8540 85,954,735.74 10.8541 10.8540 +0.0003
18/8/2025 10.8537 85,419,829.19 10.8538 10.8537 +0.0010
15/8/2025 10.8527 85,143,362.24 10.8528 10.8527 +0.0004
14/8/2025 10.8523 85,523,674.95 10.8524 10.8523 +0.0004
13/8/2025 10.8519 86,805,612.81 10.8520 10.8519 +0.0017
8/8/2025 10.8502 87,261,521.39 10.8503 10.8502 +0.0004
7/8/2025 10.8498 86,608,559.10 10.8499 10.8498 +0.0004
6/8/2025 10.8494 86,479,384.03 10.8495 10.8494 +0.0003
5/8/2025 10.8491 85,074,144.43 10.8492 10.8491 +0.0003
4/8/2025 10.8488 84,974,638.87 10.8489 10.8488 +0.0011
1/8/2025 10.8477 85,197,548.06 10.8478 10.8477 +0.0003
31/7/2025 10.8474 85,276,222.45 10.8475 10.8474 +0.0004
30/7/2025 10.8470 83,312,451.06 10.8471 10.8470 +0.0003
29/7/2025 10.8467 83,722,891.01 10.8468 10.8467 +0.0014
25/7/2025 10.8453 83,745,331.08 10.8454 10.8453 +0.0002
24/7/2025 10.8451 83,298,897.20 10.8452 10.8451 +0.0004
23/7/2025 10.8447 83,982,372.61 10.8448 10.8447 +0.0004
22/7/2025 10.8443 84,134,722.59 10.8444 10.8443 +0.0004
21/7/2025 10.8439 84,303,235.28 10.8440 10.8439 +0.0010
18/7/2025 10.8429 84,951,826.77 10.8430 10.8429 +0.0004
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.