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Announcement: Change of the NAV Calculation and Announcement Date and the Redemption Settlement Date
Amendment of the Management Fee of 8 Funds
Notification of Fund Holidays Year 2026
Extension Period for Adjustment of the Front-end and Switching-in Fee for Transactions via Siam Commercial Bank Public Company Limited
Announcement Changes to the NAV calculation, NAV announcement and Redemption Settlement of SCBDBOND
Announcement for Automatic Redemption for SCBGPLUS and SCBGINR No. 12/2025
Notification of Subscription/Redemption/Switching Service of SCBGEAR through Siam Commercial Bank Public Company Limited
Announcement for Automatic Redemption for SCBMONEY(R) No. 4/2025
Announcement: Change of the cut-off time for Subscription / Redemption / Switching Order on 24 December 2025
Amendment of the Management Fee of 5 Funds
SCB LOW VOLATILITY EQUITY FUND (Dividend)
SCB US EQUITY FUND (Dividend)
SCB DIVIDEND STOCK OPEN END FUND(Dividend)
SCB Income Fund (Accumulation)
SCB LOW VOLATILITY EQUITY FUND(Accumulation)
SCB Global Equity Absolute Return Fund (Accumulation)
SCB US Active Equity Fund (Accumulation)
SCB GLOBAL STRATEGIC INVESTMENT FUND (Accumulation)