Morningstar Rating Fund

SCBAM Fund

Risk Level

NAV

Choose

SCBPMO

SCB PERMPOL MUNKHONG OPEN END FUND
(Dividend)

Risk Level

6

NAV

9.2919

at 13 May 2022

SCBSE

SCB SELECTS EQUITY FUND (Dividend)

Risk Level

6

NAV

10.3828

at 13 May 2022

SCBSEP

SCB SELECTS EQUITY FUND (Individual/Group)

Risk Level

6

NAV

12.7107

at 13 May 2022

SCBNK225

SCB JAPAN EQUITY FUND (Non Dividend)

Risk Level

6

NAV

19.9576

at 13 May 2022

SCBNK225D

SCB JAPAN EQUITY FUND (Dividend)

Risk Level

6

NAV

13.6155

at 13 May 2022

SCBNK225P

SCB JAPAN EQUITY FUND (Individual/Group)

Risk Level

6

NAV

19.6399

at 13 May 2022

SCBMSEP

SCB Mid/Small Cap Equity Fund (Individual/Group)

Risk Level

6

NAV

16.7031

at 13 May 2022

SCBDA

SCB DHANA ANANTA OPEN END FUND (Accumulation)

Risk Level

6

NAV

10.2599

at 13 May 2022

SCBDAP

SCB DHANA ANANTA OPEN END FUND
(Individual/Group)

Risk Level

6

NAV

10.4203

at 13 May 2022

SCBS&P500A

SCB US EQUITY FUND (Accumulation)

Risk Level

6

NAV

22.7377

at 12 May 2022

SCBS&P500P

SCB US EQUITY FUND (Individual/Group)

Risk Level

6

NAV

25.1334

at 12 May 2022

SCBFP

SCB FIXED INCOME PLUS FUND
(Accumulation)

Risk Level

4

NAV

12.6852

at 13 May 2022

SCBROBOA

SCB Global Robotics Fund (Accumulation)

Risk Level

6

NAV

12.5864

at 11 May 2022

SCBFIXEDA

SCB Fixed Income Fund
(Accumulation)

Risk Level

4

NAV

10.5003

at 13 May 2022

SCBMLTA

SCB Machine Learning Thai Equity Fund (Accumulation)

Risk Level

6

NAV

9.9500

at 13 May 2022

SCBMLTP

SCB Machine Learning Thai Equity Fund (Individual/Group)

Risk Level

6

NAV

10.5230

at 13 May 2022

SCBPINA

SCB Property and Infrastructure Flexible Fund (Accumulation)

Risk Level

8

NAV

10.9335

at 13 May 2022

SCBPIND

SCB Property and Infrastructure Flexible Fund (Dividend)

Risk Level

8

NAV

10.0077

at 13 May 2022

SCBTHAICGA

SCB Thai Equity CG Fund (Accumulation)

Risk Level

6

NAV

10.9621

at 13 May 2022

SCBTHAICGP

SCB Thai Equity CG Fund (Individual/Group)

Risk Level

6

NAV

11.0469

at 13 May 2022

SCBTEQ

SCB Thai Equity Fund (Accumulation)

Risk Level

6

NAV

12.2703

at 13 May 2022

SCBLT1

SCB DIVIDEND STOCK 70/30 LONG TERM EQUITY FUND (Long Term Equity Fund)

Risk Level

6

NAV

16.8001

at 13 May 2022

SCBLTSEA

SCB Selects Long Term Equity Fund
(Accumulation)

Risk Level

6

NAV

9.6927

at 13 May 2022

SCBLTSED

SCB Selects Long Term Equity Fund
(Dividend)

Risk Level

6

NAV

9.5002

at 13 May 2022

SCBFST

SCB FOREIGN SHORT TERM FIXED INCOME (Accumulation)

Risk Level

4

NAV

10.2704

at 13 May 2022

SCBEMBOND

SCB EMERGING MARKETS BOND FUND (Dividend)

Risk Level

4

NAV

7.7716

at 12 May 2022

SCBGLOB

SCB GLOBAL BOND FUND

Risk Level

4

NAV

10.2226

at 11 May 2022

SCBRF

SCB RETIREMENT FIXED INCOME OPEN END FUND

Risk Level

4

NAV

20.9328

at 13 May 2022

SCBGINA

SCB Global Income Fund (Accumulation)

Risk Level

5

NAV

10.4575

at 12 May 2022

SCBGLOW

SCB GLOBAL WEALTH OPEN END FUND (Accumulation)

Risk Level

5

NAV

12.1160

at 11 May 2022

SCBEUSM

SCB EUROPEAN SMALL CAP EQUITY FUND (Accumulation)

Risk Level

6

NAV

14.0785

at 12 May 2022

SCBSETP

SCB SET INDEX FUND (Individual/Group)

Risk Level

6

NAV

21.2099

at 13 May 2022

SCBSETE

SCB SET INDEX FUND (E-channel)

Risk Level

6

NAV

21.2406

at 13 May 2022

SCBEUEQ

SCB EUROPEAN EQUITY FUND (Dividend)

Risk Level

6

NAV

12.3838

at 12 May 2022

SCBPGF

SCB PLATINUM GLOBAL OPEN END FUND (Accumulation)

Risk Level

6

NAV

21.7071

at 11 May 2022

SCBGIF

SCB GLOBAL INFRASTRUCTURE EQUITY FUND (Auto Redemption)

Risk Level

6

NAV

14.1684

at 12 May 2022

SCBRM4

SCB EQUITY RMF

Risk Level

6

NAV

55.9969

at 13 May 2022

SCBRMPOP

SCB Global Population Trend RMF

Risk Level

6

NAV

11.7882

at 12 May 2022

SCBRMJP

SCB JAPAN EQUITY RMF

Risk Level

6

NAV

13.6233

at 13 May 2022

SCBRMGIF

SCB GLOBAL INFRASTRUCTURE RMF

Risk Level

6

NAV

14.2709

at 12 May 2022

SCBRMGWP

SCB GLOBAL WEALTH PLUS RMF

Risk Level

5

NAV

11.0019

at 11 May 2022

SCBSMART4

SCB SMART PLAN 4 OPEN END FUND (Dividend)

Risk Level

5

NAV

10.0062

at 11 May 2022

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