Subject | Existing | New |
Fund Type | Fund of Funds | Direct Investment |
Investment Policy | The Fund has a policy to invest in investment units of foreign funds such as CIS and/or ETF that mainly invest in equities of listed companies on global stock exchanges. The Fund will invest at least 2 foreign funds, with an average investment in each fund not exceeding 79% of NAV in any accounting period. Also, the net exposure in investment units of foreign funds will be on average not less than 80% of NAV in any accounting period. |
The Fund has a policy to directly invest in equities of listed companies on global stock exchanges and/or investment units of foreign funds such as CIS and/or ETF that mainly invest in equities of listed companies on global stock exchanges on average not less than 80% of NAV in any accounting period. |
Liquidity Risk Management Tool | All liquidity risk management tools are specified. | Removed the following liquidity risk management tools as they are not necessary for equity direct investment. - Liquidity Fee - Notice Period |
You may contact Client Relations 0-2777-7777 ext. 0 ext. 6 during business days between 08.30 – 17.00 for any further inquiries.
Announced on 12 October 2022
SCB Asset Management Company Limited
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(Accumulation)
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