Announcement for the termination of the Funds due to the maturity of the Fund in December 2025

20 November 2025

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

Fund Duration of Fund Scheme Date of Maturity Date of Termination
SCB Sovereign Bond 6M28 Approx 6 months 3 December 2025 4 December 2025
SCB Sovereign Bond 3M60 Approx 3 months 8 December 2025 9 December 2025
SCB Foreign Fixed Income Fund 1YAC Not for Retail Investors Approx 1 year 11 December 2025 12 December 2025
SCB Sovereign Bond 3M61 Approx 3 months 11 December 2025 12 December 2025
SCB Sovereign Bond 6M39 Approx 6 months 11 December 2025 12 December 2025
SCB Sovereign Bond 6M41 Approx 6 months 11 December 2025 12 December 2025
SCB Sovereign Bond 3M62 Approx 3 months 18 December 2025 19 December 2025
SCB Sovereign Bond 6M40 Approx 6 months 23 December 2025 24 December 2025
SCB Sovereign Bond 3M63 Approx 3 months 25 December 2025 26 December 2025
SCB Foreign Fixed Income Fund 1YAD Not for Retail Investors Approx 1 year 26 December 2025 27 December 2025

 

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

          This is to announce for your acknowledgement.

 

November 20, 2025
SCB Asset Management Company Limited

SCBAM

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SCBLEQ

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SCBLEQA

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(Accumulation)

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SCBNDQ(A)

SCB US Equity NDQ (Accumulation)

SCBNDQ(E)

SCB US Equity NDQ (E-channel)

SCBRMNDQ(A)

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SCBINCA

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