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TALIS MID-SMALL CAP EQUITY RETIREMENT MUTUAL FUND
Date
NAV
Total Net Asset Value(THB)
Offer
Bid
Change
20/8/2025
5.2258
15,026,004.31
5.2259
5.2258
+0.0667
19/8/2025
5.1591
15,344,360.07
5.1592
5.1591
-0.0318
18/8/2025
5.1909
15,438,678.99
5.1910
5.1909
-0.0496
15/8/2025
5.2405
15,581,963.97
5.2406
5.2405
-0.0197
14/8/2025
5.2602
15,620,058.89
5.2603
5.2602
-0.0943
13/8/2025
5.3545
15,996,592.52
5.3546
5.3545
-0.0061
8/8/2025
5.3606
16,014,800.14
5.3607
5.3606
-0.0008
7/8/2025
5.3614
15,918,667.81
5.3615
5.3614
+0.0122
6/8/2025
5.3492
15,882,453.66
5.3493
5.3492
+0.1262
5/8/2025
5.2230
15,533,966.96
5.2231
5.2230
+0.0780
4/8/2025
5.1450
15,296,864.06
5.1451
5.1450
-0.0412
1/8/2025
5.1862
15,416,049.13
5.1863
5.1862
-0.0773
31/7/2025
5.2635
15,645,625.09
5.2636
5.2635
-0.0018
30/7/2025
5.2653
15,641,020.19
5.2654
5.2653
+0.0682
29/7/2025
5.1971
15,438,382.68
5.1972
5.1971
+0.0712
25/7/2025
5.1259
15,588,091.88
5.1260
5.1259
-0.0016
24/7/2025
5.1275
15,579,983.04
5.1276
5.1275
-0.0374
23/7/2025
5.1649
15,753,557.47
5.1650
5.1649
+0.0972
22/7/2025
5.0677
15,457,065.54
5.0678
5.0677
-0.0952
21/7/2025
5.1629
15,747,421.81
5.1630
5.1629
-0.0197
18/7/2025
5.1826
15,808,508.37
5.1827
5.1826
+0.0310
17/7/2025
5.1516
15,713,997.99
5.1517
5.1516
+0.0800
16/7/2025
5.0716
15,469,928.82
5.0717
5.0716
-0.0205
15/7/2025
5.0921
15,532,447.75
5.0922
5.0921
+0.1037
14/7/2025
4.9884
15,216,231.35
4.9885
4.9884
+0.0618
11/7/2025
4.9266
15,027,869.33
4.9267
4.9266
+0.0315
9/7/2025
4.8951
14,931,626.96
4.8952
4.8951
-0.0309
8/7/2025
4.9260
15,028,854.52
4.9261
4.9260
-0.0361
7/7/2025
4.9621
15,169,516.25
4.9622
4.9621
-0.0218
4/7/2025
4.9839
15,236,312.07
4.9840
4.9839
-0.0090
3/7/2025
4.9929
15,263,706.91
4.9930
4.9929
+0.1069
2/7/2025
4.8860
14,936,985.46
4.8861
4.8860
+0.0202
1/7/2025
4.8658
14,873,847.11
4.8659
4.8658
+0.0324
30/6/2025
4.8334
14,752,315.22
4.8335
4.8334
+0.0444
27/6/2025
4.7890
14,611,753.78
4.7891
4.7890
-0.0562
26/6/2025
4.8452
14,783,168.47
4.8453
4.8452
+0.0201
25/6/2025
4.8251
14,769,405.12
4.8252
4.8251
+0.0414
24/6/2025
4.7837
14,520,595.02
4.7838
4.7837
+0.1019
23/6/2025
4.6818
14,211,348.54
4.6819
4.6818
-0.0593
20/6/2025
4.7411
14,391,437.77
4.7412
4.7411
-0.0184
19/6/2025
4.7595
14,443,267.46
4.7596
4.7595
-0.0999
18/6/2025
4.8594
14,746,338.07
4.8595
4.8594
-0.0829
17/6/2025
4.9423
14,995,382.71
4.9424
4.9423
+0.0061
16/6/2025
4.9362
14,976,941.41
4.9363
4.9362
-0.0511
13/6/2025
4.9873
15,129,096.78
4.9874
4.9873
-0.0404
12/6/2025
5.0277
15,246,448.77
5.0278
5.0277
-0.0598
11/6/2025
5.0875
15,427,870.35
5.0876
5.0875
+0.0075
10/6/2025
5.0800
15,405,315.89
5.0801
5.0800
+0.0012
9/6/2025
5.0788
15,401,518.98
5.0789
5.0788
-0.0140
6/6/2025
5.0928
15,443,880.06
5.0929
5.0928
+0.0177
5/6/2025
5.0751
15,411,092.52
5.0752
5.0751
+0.0331
4/6/2025
5.0420
15,309,328.58
5.0421
5.0420
-0.0881
30/5/2025
5.1301
15,576,966.50
5.1302
5.1301
+0.0134
29/5/2025
5.1167
15,536,008.38
5.1168
5.1167
+0.0561
28/5/2025
5.0606
15,365,808.55
5.0607
5.0606
+0.0020
27/5/2025
5.0586
15,485,042.72
5.0587
5.0586
-0.0340
26/5/2025
5.0926
15,589,125.53
5.0927
5.0926
+0.0152
23/5/2025
5.0774
15,542,476.58
5.0775
5.0774
+0.0039
22/5/2025
5.0735
15,530,755.95
5.0736
5.0735
-0.0447
21/5/2025
5.1182
15,667,329.55
5.1183
5.1182
-0.0308
Remark :
• Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.