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TALIS MID-SMALL CAP EQUITY RETIREMENT MUTUAL FUND
Date
NAV
Total Net Asset Value(THB)
Offer
Bid
Change
18/4/2025
5.4111
16,367,458.42
5.4112
5.4111
+0.0851
17/4/2025
5.3260
16,110,049.78
5.3261
5.3260
+0.0534
16/4/2025
5.2726
15,948,665.02
5.2727
5.2726
+0.1187
11/4/2025
5.1539
15,589,682.39
5.1540
5.1539
-0.0845
10/4/2025
5.2384
15,845,136.33
5.2385
5.2384
+0.1820
9/4/2025
5.0564
15,299,276.65
5.0565
5.0564
-0.0173
8/4/2025
5.0737
15,345,753.92
5.0738
5.0737
-0.2280
4/4/2025
5.3017
16,035,344.62
5.3018
5.3017
-0.0874
3/4/2025
5.3891
16,299,736.33
5.3892
5.3891
-0.0555
2/4/2025
5.4446
16,467,636.79
5.4447
5.4446
+0.0344
1/4/2025
5.4102
16,361,929.12
5.4103
5.4102
+0.0103
31/3/2025
5.3999
16,323,838.05
5.4000
5.3999
-0.0858
28/3/2025
5.4857
16,583,189.48
N/A
N/A
-0.0616
27/3/2025
5.5473
16,767,602.48
5.5474
5.5473
-0.0442
26/3/2025
5.5915
16,901,062.15
5.5916
5.5915
-0.0324
25/3/2025
5.6239
17,124,081.41
5.6240
5.6239
-0.0197
24/3/2025
5.6436
17,184,139.17
5.6437
5.6436
+0.0053
21/3/2025
5.6383
17,138,114.74
5.6384
5.6383
-0.0390
20/3/2025
5.6773
17,256,660.55
5.6774
5.6773
-0.0284
19/3/2025
5.7057
17,340,490.94
5.7058
5.7057
+0.0340
18/3/2025
5.6717
17,237,167.23
5.6718
5.6717
-0.0170
17/3/2025
5.6887
17,295,029.51
5.6888
5.6887
+0.0031
14/3/2025
5.6856
17,285,504.17
5.6857
5.6856
+0.0525
13/3/2025
5.6331
17,121,010.27
5.6332
5.6331
-0.0067
12/3/2025
5.6398
17,139,403.13
5.6399
5.6398
-0.1143
11/3/2025
5.7541
17,466,707.13
5.7542
5.7541
+0.0920
10/3/2025
5.6621
17,182,458.27
5.6622
5.6621
-0.0958
7/3/2025
5.7579
17,469,000.49
5.7580
5.7579
+0.0651
6/3/2025
5.6928
17,271,582.54
5.6929
5.6928
-0.0245
5/3/2025
5.7173
17,346,000.72
5.7174
5.7173
+0.1463
4/3/2025
5.5710
16,902,072.89
5.5711
5.5710
+0.0043
3/3/2025
5.5667
16,887,704.85
5.5668
5.5667
-0.0753
28/2/2025
5.6420
17,109,188.66
5.6421
5.6420
-0.0426
27/2/2025
5.6846
17,238,240.71
5.6847
5.6846
-0.1279
26/2/2025
5.8125
17,625,950.39
5.8126
5.8125
+0.1179
25/2/2025
5.6946
17,257,351.30
5.6947
5.6946
-0.0929
24/2/2025
5.7875
17,538,725.27
5.7876
5.7875
-0.0318
21/2/2025
5.8193
17,632,337.75
5.8194
5.8193
+0.0413
20/2/2025
5.7780
17,506,994.97
5.7781
5.7780
-0.0622
19/2/2025
5.8402
18,278,993.96
5.8403
5.8402
+0.0415
18/2/2025
5.7987
18,149,215.53
5.7988
5.7987
+0.0818
17/2/2025
5.7169
17,891,094.00
5.7170
5.7169
+0.0603
14/2/2025
5.6566
17,702,620.43
5.6567
5.6566
+0.0137
13/2/2025
5.6429
17,660,657.03
5.6430
5.6429
-0.0775
11/2/2025
5.7204
17,890,820.09
5.7205
5.7204
+0.1352
10/2/2025
5.5852
17,467,919.57
5.5853
5.5852
-0.0386
7/2/2025
5.6238
17,588,764.24
5.6239
5.6238
+0.0673
6/2/2025
5.5565
17,387,660.64
5.5566
5.5565
-0.1600
5/2/2025
5.7165
17,887,310.53
5.7166
5.7165
-0.0611
4/2/2025
5.7776
18,092,594.71
5.7777
5.7776
-0.0660
3/2/2025
5.8436
18,299,201.00
5.8437
5.8436
-0.0428
31/1/2025
5.8864
18,427,476.02
5.8865
5.8864
-0.1581
30/1/2025
6.0445
18,912,382.48
6.0446
6.0445
-0.0063
29/1/2025
6.0508
18,931,854.00
6.0509
6.0508
-0.0433
28/1/2025
6.0941
21,378,322.86
6.0942
6.0941
+0.0686
27/1/2025
6.0255
21,196,064.28
6.0256
6.0255
-0.0973
24/1/2025
6.1228
21,538,217.85
6.1229
6.1228
-0.0021
23/1/2025
6.1249
21,545,608.66
6.1250
6.1249
+0.0128
22/1/2025
6.1121
21,500,592.25
6.1122
6.1121
-0.0045
21/1/2025
6.1166
21,516,356.37
6.1167
6.1166
+0.0964
20/1/2025
6.0202
21,249,074.94
6.0203
6.0202
+0.0398
Remark :
• Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.