SCB Asset Management Company Limited would like to notify the unitholders that the company is going to amend the management fee* of SCBGOV3M11 SCBASF1YF8 SCBGOV3M12 SCBCP6M40 SCBCP6M38 SCBCP6M37 SCBGOV3M13 SCBASF6MV1 SCBASF1YF9 SCBCP9M2 and SCBCP9M3, to be effective from 19 July 2024 as follows:
Fund | Current (%per year of NAV at Inception Date) |
Amendment (%per year of NAV at Inception Date) |
SCBGOV3M11 | 0.130470 | 0.212070 |
SCBASF1YF8 | 0.417600 | 0.517700 |
SCBGOV3M12 | 0.188800 | 0.157900 |
SCBCP6M40 | 0.255100 | 0.284900 |
SCBCP6M38 | 0.264600 | 0.289100 |
SCBCP6M37 | 0.121800 | 0.168600 |
SCBGOV3M13 | 0.229300 | 0.215100 |
SCBASF6MV1 | 0.407200 | 0.579100 |
SCBASF1YF9 | 0.467000 | 0.512600 |
SCBCP9M2 | 0.188500 | 0.215700 |
SCBCP9M3 | 0.146500 | 0.176400 |
Remark : * Management fee includes VAT
Announced on 15 July 2024
SCB Asset Management Co., Ltd.,
SCB LOW VOLATILITY EQUITY FUND (Dividend)
SCB LOW VOLATILITY EQUITY FUND
(Accumulation)
SCB Low Volatility Equity RMF
SCB Global Robotics Fund (Accumulation)
SCB US Equity NDQ (Accumulation)
SCB Income Fund (Accumulation)
SCB Income Fund (Auto Redemption)
SCB US Short Duration High Income Bond (Accumulation)