Talis Money Market Retirement Mutual Fund
Date NAV Total Net Asset Value(THB) Offer Bid Change
6/6/2025 10.8272 76,482,087.53 10.8273 10.8272 +0.0004
5/6/2025 10.8268 76,392,374.04 10.8269 10.8268 +0.0004
4/6/2025 10.8264 76,142,990.56 10.8265 10.8264 +0.0021
30/5/2025 10.8243 76,987,409.16 10.8244 10.8243 +0.0002
29/5/2025 10.8241 79,631,938.76 10.8242 10.8241 +0.0005
28/5/2025 10.8236 79,306,006.67 10.8237 10.8236 +0.0004
27/5/2025 10.8232 77,909,962.58 10.8233 10.8232 +0.0004
26/5/2025 10.8228 77,906,969.45 10.8229 10.8228 +0.0013
23/5/2025 10.8215 77,331,132.52 10.8216 10.8215 +0.0004
22/5/2025 10.8211 77,463,810.58 10.8212 10.8211 +0.0004
21/5/2025 10.8207 77,585,562.14 10.8208 10.8207 +0.0004
20/5/2025 10.8203 75,479,028.96 10.8204 10.8203 +0.0004
19/5/2025 10.8199 73,111,814.71 10.8200 10.8199 +0.0013
16/5/2025 10.8186 73,158,014.72 10.8187 10.8186 +0.0004
15/5/2025 10.8182 73,869,197.39 10.8183 10.8182 +0.0005
14/5/2025 10.8177 74,250,008.33 10.8178 10.8177 +0.0004
13/5/2025 10.8173 74,618,845.88 10.8174 10.8173 +0.0017
9/5/2025 10.8156 74,750,234.84 10.8157 10.8156 +0.0005
8/5/2025 10.8151 74,594,025.79 10.8152 10.8151 +0.0004
7/5/2025 10.8147 74,589,031.45 10.8148 10.8147 +0.0004
6/5/2025 10.8143 74,750,411.19 10.8144 10.8143 +0.0018
2/5/2025 10.8125 75,205,399.62 10.8126 10.8125 +0.0009
30/4/2025 10.8116 75,133,041.33 10.8117 10.8116 +0.0006
29/4/2025 10.8110 75,601,286.39 10.8111 10.8110 +0.0004
28/4/2025 10.8106 75,473,778.47 10.8107 10.8106 +0.0013
25/4/2025 10.8093 77,138,726.18 10.8094 10.8093 +0.0004
24/4/2025 10.8089 76,054,915.95 10.8090 10.8089 +0.0003
23/4/2025 10.8086 76,653,195.81 10.8087 10.8086 +0.0004
22/4/2025 10.8082 76,297,306.09 10.8083 10.8082 +0.0005
21/4/2025 10.8077 74,867,854.76 10.8078 10.8077 +0.0014
18/4/2025 10.8063 74,860,496.21 10.8064 10.8063 +0.0004
17/4/2025 10.8059 74,330,271.92 10.8060 10.8059 +0.0005
16/4/2025 10.8054 75,223,896.16 10.8055 10.8054 +0.0023
11/4/2025 10.8031 73,214,150.82 10.8032 10.8031 +0.0004
10/4/2025 10.8027 69,048,305.60 10.8028 10.8027 +0.0005
9/4/2025 10.8022 67,521,313.72 10.8023 10.8022 +0.0004
8/4/2025 10.8018 67,302,316.31 10.8019 10.8018 +0.0019
4/4/2025 10.7999 67,163,297.54 10.8000 10.7999 +0.0004
3/4/2025 10.7995 67,124,812.98 10.7996 10.7995 +0.0007
2/4/2025 10.7988 66,633,747.82 10.7989 10.7988 +0.0004
1/4/2025 10.7984 66,351,511.11 10.7985 10.7984 +0.0005
31/3/2025 10.7979 66,988,713.21 10.7980 10.7979 +0.0014
28/3/2025 10.7965 66,823,768.80 N/A N/A +0.0005
27/3/2025 10.7960 66,892,990.29 10.7961 10.7960 +0.0005
26/3/2025 10.7955 66,889,743.62 10.7956 10.7955 +0.0005
25/3/2025 10.7950 65,739,876.09 10.7951 10.7950 +0.0004
24/3/2025 10.7946 65,464,909.54 10.7947 10.7946 +0.0015
21/3/2025 10.7931 64,695,534.73 10.7932 10.7931 +0.0005
20/3/2025 10.7926 65,015,903.94 10.7927 10.7926 +0.0005
19/3/2025 10.7921 65,016,574.73 10.7922 10.7921 +0.0005
18/3/2025 10.7916 65,150,850.83 10.7917 10.7916 +0.0004
17/3/2025 10.7912 65,099,467.85 10.7913 10.7912 +0.0015
14/3/2025 10.7897 64,920,705.04 10.7898 10.7897 +0.0004
13/3/2025 10.7893 64,738,717.29 10.7894 10.7893 +0.0005
12/3/2025 10.7888 63,592,007.29 10.7889 10.7888 +0.0005
11/3/2025 10.7883 64,173,007.10 10.7884 10.7883 +0.0005
10/3/2025 10.7878 64,058,472.50 10.7879 10.7878 +0.0014
7/3/2025 10.7864 63,345,591.03 10.7865 10.7864 +0.0005
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.