Announces the Termination of the fund due to the maturity of the Fund in June 2025

20 May 2025

          SCB Asset Management Co., Ltd., as the Management Company, would like to notify the termination of the Funds in June 2025 due to the maturity. The details are as follows:

Fund Duration of Fund Scheme Date of Maturity Date of Termination
SCB Sovereign Bond 6M9 Approx 6 months 4 June 2025 5 June 2025
SCB Sovereign Bond 3M34 Approx 3 months 5 June 2025 6 June 2025
SCB Sovereign Bond 6M10 Approx 6 months 10 June 2025 11 June 2025
SCB Sovereign Bond 3M35 Approx 3 months 12 June 2025 13 June 2025
SCB Structured Complex Return 1YB
Not for Retail Investors
Approx 1 year 13 June 2025 14 June 2025
SCB Sovereign Bond 6M11 Approx 6 months 18 June 2025 19 June 2025
SCB Sovereign Bond 3M36 Approx 3 months 19 June 2025 20 June 2025
SCB Sovereign Bond 6M13 Approx 6 months 20 June 2025 21 June 2025
SCB Sovereign Bond 3M37 Approx 3 months 26 June 2025 27 June 2025
SCB Foreign Fixed Income Fund 6MZ1
Not for Retail Investors
Approx 6 months 27 June 2025 28 June 2025

 

          For further inquiries, contact our Client Relations Department at 0 2777 7777 

          This is to announce for your acknowledgement.

 

May 20, 2025
SCB Asset Management Company Limited

SCBAM

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