TALIS FVMR ASIA PACIFIC EX JAPAN EX CHINA
Date NAV Total Net Asset Value(THB) Offer Bid Change
16/10/2025 10.4847 1,217,329,664.58 10.5896 10.4847 +0.1202
15/10/2025 10.3645 1,202,183,220.23 10.4682 10.3645 +0.0963
14/10/2025 10.2682 1,185,415,174.11 10.3710 10.2682 +0.1544
10/10/2025 10.1138 1,163,071,516.12 10.2150 10.1138 -0.2250
9/10/2025 10.3388 1,185,601,979.33 10.4423 10.3388 -0.0383
8/10/2025 10.3771 1,175,683,716.12 10.4810 10.3771 +0.0359
7/10/2025 10.3412 1,164,857,362.69 10.4447 10.3412 -0.0214
6/10/2025 10.3626 1,163,209,088.19 10.4663 10.3626 +0.0619
3/10/2025 10.3007 1,153,019,866.64 10.4038 10.3007 +0.0633
2/10/2025 10.2374 1,139,542,596.41 10.3399 10.2374 +0.0572
1/10/2025 10.1802 1,127,611,352.09 10.2821 10.1802 +0.0872
30/9/2025 10.0930 1,115,452,637.63 10.1940 10.0930 +0.0403
29/9/2025 10.0527 1,102,031,880.53 10.1533 10.0527 +0.0850
26/9/2025 9.9677 1,083,467,052.48 10.0675 9.9677 -0.0005
25/9/2025 9.9682 1,070,784,463.80 10.0680 9.9682 -0.0056
24/9/2025 9.9738 1,066,146,248.92 10.0736 9.9738 -0.0621
23/9/2025 10.0359 1,044,484,415.39 10.1364 10.0359 -0.0228
22/9/2025 10.0587 1,034,148,142.08 10.1594 10.0587 +0.0459
19/9/2025 10.0128 1,012,862,775.07 10.1130 10.0128 -0.0272
18/9/2025 10.0400 991,920,179.90 10.1405 10.0400 +0.0357
17/9/2025 10.0043 939,543,917.49 10.1044 10.0043 -0.0289
16/9/2025 10.0332 887,893,374.77 10.1336 10.0332 +0.0120
15/9/2025 10.0212 612,438,203.95 10.1215 10.0212 +0.1027
12/9/2025 9.9185 576,424,733.70 10.0178 9.9185 +0.0040
11/9/2025 9.9145 316,743,600.66 10.0137 9.9145 +0.0739
10/9/2025 9.8406 290,640,583.85 9.9391 9.8406 +0.1589
9/9/2025 9.6817 258,826,345.36 9.7786 9.6817 -0.0103
8/9/2025 9.6920 234,061,386.45 9.7890 9.6920 -0.0467
5/9/2025 9.7387 198,118,722.40 9.8362 9.7387 +0.0174
4/9/2025 9.7213 198,418,681.57 9.8186 9.7213 +0.0420
3/9/2025 9.6793 197,424,180.25 9.7762 9.6793 +0.0555
2/9/2025 9.6238 195,702,380.94 9.7201 9.6238 -0.0509
29/8/2025 9.6747 196,620,041.08 9.7715 9.6747 -0.1132
28/8/2025 9.7879 198,928,445.48 9.8859 9.7879 +0.0089
27/8/2025 9.7790 198,705,815.22 9.8769 9.7790 +0.0173
26/8/2025 9.7617 197,786,555.69 9.8594 9.7617 -0.0207
25/8/2025 9.7824 197,934,010.30 9.8803 9.7824 -0.1487
22/8/2025 9.9311 200,713,313.42 10.0305 9.9311 +0.1722
21/8/2025 9.7589 197,047,459.07 9.8566 9.7589 -0.0022
20/8/2025 9.7611 196,700,320.06 9.8588 9.7611 -0.0220
19/8/2025 9.7831 196,925,793.77 9.8810 9.7831 -0.0687
18/8/2025 9.8518 197,438,974.52 9.9504 9.8518 +0.0395
15/8/2025 9.8123 196,125,986.97 9.9105 9.8123 +0.0118
14/8/2025 9.8005 195,685,588.07 9.8986 9.8005 -0.0515
13/8/2025 9.8520 196,489,895.48 9.9506 9.8520 +0.1257
8/8/2025 9.7263 193,770,441.29 9.8237 9.7263 +0.0031
7/8/2025 9.7232 193,129,496.79 9.8205 9.7232 +0.0371
6/8/2025 9.6861 192,017,655.18 9.7831 9.6861 +0.0368
5/8/2025 9.6493 190,711,520.71 9.7459 9.6493 +0.0014
4/8/2025 9.6479 189,911,977.44 9.7445 9.6479 -0.0153
1/8/2025 9.6632 189,528,872.44 9.7599 9.6632 +0.0037
31/7/2025 9.6595 189,096,636.79 9.7562 9.6595 -0.0038
30/7/2025 9.6633 189,043,057.31 9.7600 9.6633 -0.0503
29/7/2025 9.7136 189,665,947.85 9.8108 9.7136 -0.0282
25/7/2025 9.7418 189,823,715.80 9.8393 9.7418 +0.0186
24/7/2025 9.7232 189,198,959.05 9.8205 9.7232 -0.0540
23/7/2025 9.7772 189,991,802.22 9.8751 9.7772 +0.0598
22/7/2025 9.7174 188,335,911.88 9.8147 9.7174 -0.0667
21/7/2025 9.7841 189,246,879.15 9.8820 9.7841 +0.0480
18/7/2025 9.7361 188,597,198.34 9.8336 9.7361 -0.0628
Remark :
•  Investing in mutual fund involves investment risks. Investors should understand the fund features, conditions of return and risk before investing.