Mutual Fund

Fund Performance

3 Oct 2022

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MONDAY

03

Fund
Fund Code
At
YTD
3 Month
6 Month
1 Year
3 Year
( pa.)
5 Year
( pa.)
10 Year
( pa.)
Inception

Money Market Funds

Expand

Fund

SCB TREASURY MONEY OPEN END FUND
FUND SUMMARY 

Fund Code

SCBTMF

At

29/09/2022

YTD

0.12%

3 Month

0.04%

6 Month

0.09%

1 Year

0.17%

3 Year

0.23%

5 Year

0.38%

10 Year

0.81%

Inception

1.07%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.01%

3 Month

0.01%

6 Month

0.01%

1 Year

0.01%

3 Year

0.02%

5 Year

0.03%

10 Year

0.06%

Inception

0.08%

Expand

Fund

SCB TREASURY MONEY PLUS OPEN END FUND (CLASS A)
FUND SUMMARY 

Fund Code

SCBTMFPLUS-A

At

29/09/2022

YTD

0.20%

3 Month

0.07%

6 Month

0.14%

1 Year

0.28%

3 Year

0.42%

5 Year

0.73%

10 Year

1.22%

Inception

1.23%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.01%

3 Month

0.01%

6 Month

0.01%

1 Year

0.01%

3 Year

0.03%

5 Year

0.05%

10 Year

0.07%

Inception

0.07%

Expand

Fund

SCB TREASURY MONEY PLUS OPEN END FUND (CLASS B)
FUND SUMMARY 

Fund Code

SCBTMFPLUS-B

At

29/09/2022

YTD

0.17%

3 Month

0.06%

6 Month

0.11%

1 Year

0.23%

3 Year

0.36%

5 Year

0.66%

10 Year

1.04%

Inception

1.05%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.01%

3 Month

0.01%

6 Month

0.01%

1 Year

0.01%

3 Year

0.03%

5 Year

0.04%

10 Year

0.06%

Inception

0.06%

Expand

Fund

SCB TREASURY MONEY PLUS OPEN END FUND (CLASS E)
FUND SUMMARY 

Fund Code

SCBTMFPLUS-E

At

29/09/2022

YTD

0.29%

3 Month

0.10%

6 Month

0.19%

1 Year

0.39%

3 Year

0.48%

5 Year

10 Year

Inception

0.59%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.01%

3 Month

0.01%

6 Month

0.01%

1 Year

0.02%

3 Year

0.10%

5 Year

10 Year

Inception

0.09%

Expand

Fund

SCB TREASURY MONEY PLUS OPEN END FUND (CLASS I)
FUND SUMMARY 

Fund Code

SCBTMFPLUS-I

At

29/09/2022

YTD

0.20%

3 Month

0.07%

6 Month

0.14%

1 Year

0.28%

3 Year

0.42%

5 Year

0.73%

10 Year

1.22%

Inception

1.23%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.01%

3 Month

0.01%

6 Month

0.01%

1 Year

0.01%

3 Year

0.03%

5 Year

0.05%

10 Year

0.07%

Inception

0.07%

Expand

Fund

SCB TREASURY MONEY PLUS OPEN END FUND (CLASS P)
FUND SUMMARY 

Fund Code

SCBTMFPLUS-P

At

29/09/2022

YTD

0.17%

3 Month

0.06%

6 Month

0.11%

1 Year

0.34%

3 Year

0.43%

5 Year

0.79%

10 Year

Inception

0.80%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.02%

3 Month

0.01%

6 Month

0.01%

1 Year

0.08%

3 Year

0.06%

5 Year

0.06%

10 Year

Inception

0.06%

Fixed Income Funds

Expand

Fund

SCB Fixed Income Fund (Accumulation)
FUND SUMMARY 

Fund Code

SCBFIXEDA

At

29/09/2022

YTD

0.00%

3 Month

0.14%

6 Month

-0.07%

1 Year

0.12%

3 Year

0.87%

5 Year

10 Year

Inception

1.20%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.25%

3 Month

0.12%

6 Month

0.24%

1 Year

0.26%

3 Year

0.39%

5 Year

10 Year

Inception

0.35%

Expand

Fund

SCB FIXED INCOME PLUS FUND (Accumulation)
FUND SUMMARY 

Fund Code

SCBFP

At

29/09/2022

YTD

-1.25%

3 Month

-0.02%

6 Month

-0.98%

1 Year

-1.09%

3 Year

0.62%

5 Year

1.12%

10 Year

2.02%

Inception

2.07%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

1.10%

3 Month

0.54%

6 Month

0.99%

1 Year

1.16%

3 Year

0.93%

5 Year

0.77%

10 Year

0.72%

Inception

0.71%

Expand

Fund

SCB FIXED INCOME PLUS FUND (Individual/Group)
FUND SUMMARY 

Fund Code

SCBFPP

At

29/09/2022

YTD

-0.98%

3 Month

0.07%

6 Month

-0.79%

1 Year

-0.72%

3 Year

0.83%

5 Year

1.39%

10 Year

Inception

1.45%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

1.10%

3 Month

0.54%

6 Month

0.99%

1 Year

1.16%

3 Year

0.93%

5 Year

0.77%

10 Year

Inception

0.76%

Expand

Fund

SCB RETIREMENT FIXED INCOME OPEN END FUND
FUND SUMMARY 

Fund Code

SCBRF

At

29/09/2022

YTD

-0.67%

3 Month

0.24%

6 Month

-0.62%

1 Year

-0.57%

3 Year

0.85%

5 Year

1.36%

10 Year

1.65%

Inception

2.97%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.75%

3 Month

0.37%

6 Month

0.68%

1 Year

0.81%

3 Year

0.78%

5 Year

0.67%

10 Year

0.53%

Inception

2.13%

Expand

Fund

SCB Short Term Fixed Income Fund
FUND SUMMARY 

Fund Code

SCBSFF

At

29/09/2022

YTD

0.12%

3 Month

0.06%

6 Month

0.09%

1 Year

0.15%

3 Year

0.23%

5 Year

0.42%

10 Year

0.90%

Inception

2.90%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.01%

3 Month

0.00%

6 Month

0.01%

1 Year

0.01%

3 Year

0.02%

5 Year

0.03%

10 Year

0.06%

Inception

0.64%

Expand

Fund

SCB Short Term Fixed Income Plus Fund (Super Savings Fund E-channel)
FUND SUMMARY 

Fund Code

SCBSFFPLU(SSFE)

At

29/09/2022

YTD

0.20%

3 Month

0.17%

6 Month

1 Year

3 Year

5 Year

10 Year

Inception

0.20%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.02%

3 Month

0.01%

6 Month

1 Year

3 Year

5 Year

10 Year

Inception

0.02%

Expand

Fund

SCB Short Term Fixed Income Plus Fund (CLASS A)
FUND SUMMARY 

Fund Code

SCBSFFPLUS-A

At

29/09/2022

YTD

0.18%

3 Month

0.07%

6 Month

0.12%

1 Year

0.26%

3 Year

0.58%

5 Year

0.91%

10 Year

Inception

1.33%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.01%

3 Month

0.01%

6 Month

0.01%

1 Year

0.02%

3 Year

0.05%

5 Year

0.06%

10 Year

Inception

0.08%

Expand

Fund

SCB Short Term Fixed Income Plus Fund (CLASS B)
FUND SUMMARY 

Fund Code

SCBSFFPLUS-B

At

29/09/2022

YTD

0.15%

3 Month

0.06%

6 Month

0.10%

1 Year

0.23%

3 Year

0.53%

5 Year

0.84%

10 Year

Inception

1.24%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.01%

3 Month

0.01%

6 Month

0.01%

1 Year

0.02%

3 Year

0.05%

5 Year

0.06%

10 Year

Inception

0.08%

Expand

Fund

SCB Short Term Fixed Income Plus Fund (CLASS I)
FUND SUMMARY 

Fund Code

SCBSFFPLUS-I

At

29/09/2022

YTD

0.18%

3 Month

0.07%

6 Month

0.11%

1 Year

0.26%

3 Year

0.58%

5 Year

0.91%

10 Year

Inception

1.33%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.01%

3 Month

0.01%

6 Month

0.01%

1 Year

0.02%

3 Year

0.05%

5 Year

0.06%

10 Year

Inception

0.08%

Expand

Fund

SCB Short Term Fixed Income Plus Fund (CLASS P)
FUND SUMMARY 

Fund Code

SCBSFFPLUS-P

At

29/09/2022

YTD

0.48%

3 Month

0.17%

6 Month

0.32%

1 Year

0.67%

3 Year

0.94%

5 Year

10 Year

Inception

1.25%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

0.02%

3 Month

0.01%

6 Month

0.02%

1 Year

0.03%

3 Year

0.06%

5 Year

10 Year

Inception

0.10%

Index Funds

Expand

Fund

SCB SET BANKING SECTOR INDEX FUND (Dividend)
FUND SUMMARY 

Fund Code

SCBBANKING

At

30/09/2022

YTD

-0.14%

3 Month

0.88%

6 Month

-2.77%

1 Year

8.09%

3 Year

-0.69%

5 Year

-2.72%

10 Year

0.01%

Inception

2.64%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

14.35%

3 Month

7.73%

6 Month

10.77%

1 Year

17.63%

3 Year

28.58%

5 Year

23.60%

10 Year

21.65%

Inception

22.36%

Expand

Fund

SCB SET BANKING SECTOR INDEX FUND (Accumulation)
FUND SUMMARY 

Fund Code

SCBBANKINGA

At

30/09/2022

YTD

-0.09%

3 Month

0.88%

6 Month

-2.77%

1 Year

8.13%

3 Year

-0.65%

5 Year

10 Year

Inception

-3.23%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

14.35%

3 Month

7.73%

6 Month

10.77%

1 Year

17.63%

3 Year

28.58%

5 Year

10 Year

Inception

24.62%

Expand

Fund

SCB SET BANKING SECTOR INDEX FUND (E-channel)
FUND SUMMARY 

Fund Code

SCBBANKINGE

At

30/09/2022

YTD

0.40%

3 Month

1.05%

6 Month

-2.45%

1 Year

8.84%

3 Year

-0.24%

5 Year

10 Year

Inception

-3.38%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

14.35%

3 Month

7.73%

6 Month

10.77%

1 Year

17.63%

3 Year

28.58%

5 Year

10 Year

Inception

27.56%

Expand

Fund

SCB SET BANKING SECTOR INDEX FUND (Individual/Group)
FUND SUMMARY 

Fund Code

SCBBANKINGP

At

30/09/2022

YTD

-17.71%

3 Month

1.08%

6 Month

-2.54%

1 Year

-10.89%

3 Year

-7.45%

5 Year

-6.70%

10 Year

Inception

-5.35%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

22.45%

3 Month

7.72%

6 Month

10.75%

1 Year

24.95%

3 Year

30.30%

5 Year

24.84%

10 Year

Inception

24.60%

Expand

Fund

SCB SET ENERGY SECTOR INDEX FUND (Dividend)
FUND SUMMARY 

Fund Code

SCBENERGY

At

30/09/2022

YTD

2.09%

3 Month

3.36%

6 Month

-1.66%

1 Year

5.00%

3 Year

1.45%

5 Year

4.72%

10 Year

4.49%

Inception

4.05%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.41%

3 Month

5.82%

6 Month

9.46%

1 Year

13.22%

3 Year

25.69%

5 Year

22.46%

10 Year

20.77%

Inception

21.31%

Expand

Fund

SCB SET ENERGY SECTOR INDEX FUND (Accumulation)
FUND SUMMARY 

Fund Code

SCBENERGYA

At

30/09/2022

YTD

2.08%

3 Month

3.36%

6 Month

-1.66%

1 Year

4.99%

3 Year

5 Year

10 Year

Inception

11.89%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.42%

3 Month

5.82%

6 Month

9.46%

1 Year

13.22%

3 Year

5 Year

10 Year

Inception

13.26%

Expand

Fund

SCB SET ENERGY SECTOR INDEX FUND (E-channel)
FUND SUMMARY 

Fund Code

SCBENERGYE

At

30/09/2022

YTD

2.58%

3 Month

3.53%

6 Month

-1.34%

1 Year

5.68%

3 Year

1.71%

5 Year

10 Year

Inception

2.74%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.42%

3 Month

5.82%

6 Month

9.46%

1 Year

13.22%

3 Year

25.71%

5 Year

10 Year

Inception

24.89%

Expand

Fund

SCB SET ENERGY SECTOR INDEX FUND (Individual/Group)
FUND SUMMARY 

Fund Code

SCBENERGYP

At

30/09/2022

YTD

-6.84%

3 Month

3.37%

6 Month

-1.62%

1 Year

-4.17%

3 Year

-1.90%

5 Year

1.70%

10 Year

Inception

3.16%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

14.47%

3 Month

5.82%

6 Month

9.45%

1 Year

16.04%

3 Year

26.22%

5 Year

22.90%

10 Year

Inception

22.68%

Expand

Fund

SCB Set Index Long Term Equity Fund (Year 2020 (Accumulation))
FUND SUMMARY 

Fund Code

SCBLTSETA-2020

At

30/09/2022

YTD

-1.90%

3 Month

1.97%

6 Month

-4.08%

1 Year

1.22%

3 Year

5 Year

10 Year

Inception

16.57%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.62%

3 Month

4.87%

6 Month

7.70%

1 Year

11.09%

3 Year

5 Year

10 Year

Inception

13.75%

Expand

Fund

SCB Set Index Long Term Equity Fund (Year 2020 (Dividend))
FUND SUMMARY 

Fund Code

SCBLTSETD-2020

At

30/09/2022

YTD

-1.91%

3 Month

1.97%

6 Month

-4.09%

1 Year

1.21%

3 Year

5 Year

10 Year

Inception

16.57%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.62%

3 Month

4.87%

6 Month

7.70%

1 Year

11.09%

3 Year

5 Year

10 Year

Inception

13.75%

Expand

Fund

SCB SET INDEX FUND (Accumulation)
FUND SUMMARY 

Fund Code

SCBSET

At

30/09/2022

YTD

-1.87%

3 Month

2.04%

6 Month

-3.95%

1 Year

1.19%

3 Year

-0.36%

5 Year

0.34%

10 Year

3.66%

Inception

2.87%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.64%

3 Month

4.89%

6 Month

7.71%

1 Year

11.12%

3 Year

20.23%

5 Year

17.05%

10 Year

15.86%

Inception

23.85%

Expand

Fund

SCB SET50 INDEX FUND (Accumulation)
FUND SUMMARY 

Fund Code

SCBSET50

At

30/09/2022

YTD

-0.36%

3 Month

1.25%

6 Month

-3.94%

1 Year

2.21%

3 Year

-1.97%

5 Year

0.19%

10 Year

3.54%

Inception

6.28%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.55%

3 Month

4.50%

6 Month

7.47%

1 Year

11.34%

3 Year

22.07%

5 Year

18.62%

10 Year

17.27%

Inception

17.23%

Expand

Fund

SCB SET50 INDEX FUND (E-channel)
FUND SUMMARY 

Fund Code

SCBSET50E

At

30/09/2022

YTD

0.04%

3 Month

1.39%

6 Month

-3.69%

1 Year

2.75%

3 Year

-1.45%

5 Year

10 Year

Inception

-1.20%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.55%

3 Month

4.50%

6 Month

7.47%

1 Year

11.34%

3 Year

22.07%

5 Year

10 Year

Inception

21.29%

Expand

Fund

SCB SET50 INDEX FUND (Individual/Group)
FUND SUMMARY 

Fund Code

SCBSET50P

At

30/09/2022

YTD

0.04%

3 Month

1.39%

6 Month

-3.69%

1 Year

2.75%

3 Year

-1.57%

5 Year

0.53%

10 Year

Inception

0.53%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.55%

3 Month

4.50%

6 Month

7.47%

1 Year

11.34%

3 Year

22.07%

5 Year

18.62%

10 Year

Inception

18.60%

Expand

Fund

SCB SET INDEX FUND (E-channel)
FUND SUMMARY 

Fund Code

SCBSETE

At

30/09/2022

YTD

-1.35%

3 Month

2.22%

6 Month

-3.61%

1 Year

1.91%

3 Year

0.35%

5 Year

10 Year

Inception

1.34%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.64%

3 Month

4.89%

6 Month

7.72%

1 Year

11.12%

3 Year

20.23%

5 Year

10 Year

Inception

18.54%

Expand

Fund

SCB SET INDEX FUND (Individual/Group)
FUND SUMMARY 

Fund Code

SCBSETP

At

30/09/2022

YTD

-1.35%

3 Month

2.22%

6 Month

-3.61%

1 Year

1.91%

3 Year

0.35%

5 Year

0.90%

10 Year

Inception

2.24%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.64%

3 Month

4.89%

6 Month

7.72%

1 Year

11.12%

3 Year

20.23%

5 Year

17.04%

10 Year

Inception

16.80%

Equity Funds

Expand

Fund

SCB DHANA ANANTA OPEN END FUND (Accumulation)
FUND SUMMARY 

Fund Code

SCBDA

At

30/09/2022

YTD

-1.08%

3 Month

3.35%

6 Month

-5.33%

1 Year

1.97%

3 Year

2.42%

5 Year

2.13%

10 Year

4.44%

Inception

0.12%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.14%

3 Month

5.34%

6 Month

8.89%

1 Year

12.85%

3 Year

20.47%

5 Year

17.35%

10 Year

16.44%

Inception

23.16%

Expand

Fund

SCB DHANA ANANTA OPEN END FUND (Individual/Group)
FUND SUMMARY 

Fund Code

SCBDAP

At

30/09/2022

YTD

0.19%

3 Month

3.79%

6 Month

-4.53%

1 Year

3.73%

3 Year

3.43%

5 Year

2.93%

10 Year

Inception

4.34%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.14%

3 Month

5.34%

6 Month

8.89%

1 Year

12.85%

3 Year

20.47%

5 Year

17.35%

10 Year

Inception

17.12%

Expand

Fund

SCB DIVIDEND STOCK OPEN END FUND (Dividend)
FUND SUMMARY 

Fund Code

SCBDV

At

30/09/2022

YTD

-4.42%

3 Month

1.06%

6 Month

-5.65%

1 Year

-0.06%

3 Year

-1.46%

5 Year

0.27%

10 Year

4.09%

Inception

8.74%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.31%

3 Month

5.15%

6 Month

8.25%

1 Year

11.86%

3 Year

21.04%

5 Year

17.86%

10 Year

16.32%

Inception

17.35%

Expand

Fund

SCB DIVIDEND STOCK OPEN END FUND (Accumulation)
FUND SUMMARY 

Fund Code

SCBDVA

At

30/09/2022

YTD

-4.44%

3 Month

1.06%

6 Month

-5.67%

1 Year

-0.07%

3 Year

5 Year

10 Year

Inception

4.54%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.31%

3 Month

5.15%

6 Month

8.25%

1 Year

11.86%

3 Year

5 Year

10 Year

Inception

11.76%

Expand

Fund

SCB DIVIDEND STOCK OPEN END FUND (Individual/Group)
FUND SUMMARY 

Fund Code

SCBDVP

At

30/09/2022

YTD

-6.79%

3 Month

1.07%

6 Month

-8.02%

1 Year

-3.96%

3 Year

-2.98%

5 Year

-0.87%

10 Year

Inception

0.77%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.82%

3 Month

5.15%

6 Month

8.87%

1 Year

12.35%

3 Year

21.15%

5 Year

17.96%

10 Year

Inception

17.71%

Expand

Fund

SCB Thai Equity Equal Weight Portfolio (Accumulation)
FUND SUMMARY 

Fund Code

SCBEQUALA

At

30/09/2022

YTD

-5.91%

3 Month

-1.53%

6 Month

-6.54%

1 Year

-1.32%

3 Year

5 Year

10 Year

Inception

2.83%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.58%

3 Month

5.21%

6 Month

8.46%

1 Year

12.10%

3 Year

5 Year

10 Year

Inception

22.25%

Expand

Fund

SCB Thai Equity Equal Weight Portfolio (E-channel)
FUND SUMMARY 

Fund Code

SCBEQUALE

At

30/09/2022

YTD

-5.38%

3 Month

-1.35%

6 Month

-6.19%

1 Year

-0.58%

3 Year

5 Year

10 Year

Inception

3.93%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.58%

3 Month

5.21%

6 Month

8.46%

1 Year

12.10%

3 Year

5 Year

10 Year

Inception

22.31%

Expand

Fund

SCB Thai Equity Large-Cap Multi-Factor Portfolio (Accumulation)
FUND SUMMARY 

Fund Code

SCBLARGEA

At

30/09/2022

YTD

-0.27%

3 Month

1.73%

6 Month

-2.95%

1 Year

4.36%

3 Year

5 Year

10 Year

Inception

1.30%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.66%

3 Month

4.43%

6 Month

7.43%

1 Year

11.59%

3 Year

5 Year

10 Year

Inception

22.16%

Expand

Fund

SCB Thai Equity Large-Cap Multi-Factor Portfolio (E-channel)
FUND SUMMARY 

Fund Code

SCBLARGEE

At

30/09/2022

YTD

0.29%

3 Month

1.92%

6 Month

-2.58%

1 Year

5.15%

3 Year

5 Year

10 Year

Inception

2.03%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.66%

3 Month

4.43%

6 Month

7.43%

1 Year

11.58%

3 Year

5 Year

10 Year

Inception

22.22%

Expand

Fund

SCB DIVIDEND STOCK 70/30 LONG TERM EQUITY FUND (Year 2020)
FUND SUMMARY 

Fund Code

SCBLT1-2020

At

29/09/2022

YTD

-6.84%

3 Month

0.39%

6 Month

-4.55%

1 Year

-2.99%

3 Year

5 Year

10 Year

Inception

11.28%

Fund

Performance SD

Fund Code
At

29/09/2022

YTD

8.53%

3 Month

4.39%

6 Month

6.86%

1 Year

9.62%

3 Year

5 Year

10 Year

Inception

10.97%

Expand

Fund

SCB STOCK PLUS LONG TERM EQUITY FUND (Year 2020)
FUND SUMMARY 

Fund Code

SCBLT2-2020

At

30/09/2022

YTD

-8.58%

3 Month

0.10%

6 Month

-6.39%

1 Year

-3.29%

3 Year

5 Year

10 Year

Inception

15.98%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.90%

3 Month

5.89%

6 Month

9.48%

1 Year

13.47%

3 Year

5 Year

10 Year

Inception

15.60%

Expand

Fund

SCB LONG TERM EQUITY FUND (Year 2020)
FUND SUMMARY 

Fund Code

SCBLT3-2020

At

30/09/2022

YTD

-4.62%

3 Month

1.39%

6 Month

-6.10%

1 Year

-1.13%

3 Year

5 Year

10 Year

Inception

15.66%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.73%

3 Month

5.08%

6 Month

8.48%

1 Year

12.32%

3 Year

5 Year

10 Year

Inception

14.59%

Expand

Fund

SCB INTER LONG TERM EQUITY FUND (Year 2020)
FUND SUMMARY 

Fund Code

SCBLT4-2020

At

30/09/2022

YTD

-5.54%

3 Month

1.51%

6 Month

-6.13%

1 Year

-2.15%

3 Year

5 Year

10 Year

Inception

14.15%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.30%

3 Month

4.59%

6 Month

7.44%

1 Year

10.79%

3 Year

5 Year

10 Year

Inception

12.79%

Expand

Fund

SCB Selects Long Term Equity Fund (Year 2020 (Accumulation))
FUND SUMMARY 

Fund Code

SCBLTSEA-2020

At

30/09/2022

YTD

-6.77%

3 Month

0.93%

6 Month

-7.54%

1 Year

-1.04%

3 Year

5 Year

10 Year

Inception

15.95%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.94%

3 Month

5.26%

6 Month

8.69%

1 Year

12.55%

3 Year

5 Year

10 Year

Inception

14.56%

Expand

Fund

SCB Selects Long Term Equity Fund (Year 2020 (Dividend))
FUND SUMMARY 

Fund Code

SCBLTSED-2020

At

30/09/2022

YTD

-6.77%

3 Month

0.93%

6 Month

-7.54%

1 Year

-1.03%

3 Year

5 Year

10 Year

Inception

15.96%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.94%

3 Month

5.26%

6 Month

8.69%

1 Year

12.55%

3 Year

5 Year

10 Year

Inception

14.56%

Expand

Fund

SCB TARGET LONG TERM EQUITY FUND (Year 2020)
FUND SUMMARY 

Fund Code

SCBLTT-2020

At

30/09/2022

YTD

-4.34%

3 Month

2.10%

6 Month

-5.32%

1 Year

0.19%

3 Year

5 Year

10 Year

Inception

16.77%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.70%

3 Month

5.19%

6 Month

8.42%

1 Year

12.34%

3 Year

5 Year

10 Year

Inception

14.64%

Expand

Fund

SCB Machine Learning Thai Equity Fund (Accumulation)
FUND SUMMARY 

Fund Code

SCBMLTA

At

30/09/2022

YTD

-3.12%

3 Month

2.54%

6 Month

-4.59%

1 Year

0.04%

3 Year

0.63%

5 Year

10 Year

Inception

0.28%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.87%

3 Month

4.83%

6 Month

7.94%

1 Year

11.46%

3 Year

20.62%

5 Year

10 Year

Inception

17.84%

Expand

Fund

SCB Machine Learning Thai Equity Fund (Individual/Group)
FUND SUMMARY 

Fund Code

SCBMLTP

At

30/09/2022

YTD

-2.34%

3 Month

2.82%

6 Month

-4.08%

1 Year

1.12%

3 Year

1.72%

5 Year

10 Year

Inception

0.56%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

9.87%

3 Month

4.83%

6 Month

7.94%

1 Year

11.46%

3 Year

20.62%

5 Year

10 Year

Inception

17.92%

Expand

Fund

SCB Thai Equity Momentum Portfolio (Accumulation)
FUND SUMMARY 

Fund Code

SCBMOMENTA

At

30/09/2022

YTD

-5.66%

3 Month

-2.58%

6 Month

-3.72%

1 Year

-4.47%

3 Year

5 Year

10 Year

Inception

-2.54%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.22%

3 Month

5.48%

6 Month

8.52%

1 Year

13.80%

3 Year

5 Year

10 Year

Inception

22.48%

Expand

Fund

SCB Thai Equity Momentum Portfolio (E-channel)
FUND SUMMARY 

Fund Code

SCBMOMENTE

At

30/09/2022

YTD

-5.13%

3 Month

-2.40%

6 Month

-3.36%

1 Year

-3.75%

3 Year

5 Year

10 Year

Inception

-2.06%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.22%

3 Month

5.48%

6 Month

8.52%

1 Year

13.80%

3 Year

5 Year

10 Year

Inception

22.54%

Expand

Fund

SCB Mid/Small Cap Equity Fund (Accumulation)
FUND SUMMARY 

Fund Code

SCBMSE

At

30/09/2022

YTD

-9.49%

3 Month

-1.45%

6 Month

-9.21%

1 Year

-2.00%

3 Year

3.67%

5 Year

0.72%

10 Year

Inception

6.08%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

12.81%

3 Month

6.31%

6 Month

10.20%

1 Year

14.22%

3 Year

20.61%

5 Year

18.09%

10 Year

Inception

16.92%

Expand

Fund

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

Fund Code

SCBMSEP

At

30/09/2022

YTD

-8.42%

3 Month

-1.05%

6 Month

-8.48%

1 Year

-0.45%

3 Year

4.89%

5 Year

1.74%

10 Year

Inception

3.64%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

12.81%

3 Month

6.31%

6 Month

10.21%

1 Year

14.22%

3 Year

20.61%

5 Year

18.09%

10 Year

Inception

17.87%

Expand

Fund

SCB PERMPOL MUNKHONG OPEN END FUND (Dividend)
FUND SUMMARY 

Fund Code

SCBPMO

At

30/09/2022

YTD

-5.59%

3 Month

2.11%

6 Month

-6.63%

1 Year

-0.80%

3 Year

0.79%

5 Year

2.06%

10 Year

4.08%

Inception

1.51%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.27%

3 Month

5.66%

6 Month

8.83%

1 Year

12.88%

3 Year

20.77%

5 Year

17.75%

10 Year

16.69%

Inception

21.64%

Expand

Fund

SCB PERMPOL MUNKHONG OPEN END FUND (Accumulation)
FUND SUMMARY 

Fund Code

SCBPMOA

At

30/09/2022

YTD

-5.59%

3 Month

2.11%

6 Month

-6.63%

1 Year

-0.87%

3 Year

5 Year

10 Year

Inception

3.01%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.27%

3 Month

5.66%

6 Month

8.83%

1 Year

12.88%

3 Year

5 Year

10 Year

Inception

12.66%

Expand

Fund

SCB PERMPOL MUNKHONG OPEN END FUND (Individual/Group)
FUND SUMMARY 

Fund Code

SCBPMOP

At

30/09/2022

YTD

-5.57%

3 Month

2.11%

6 Month

-6.63%

1 Year

-11.81%

3 Year

-3.08%

5 Year

-1.87%

10 Year

Inception

-0.43%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

11.26%

3 Month

5.66%

6 Month

8.83%

1 Year

17.52%

3 Year

21.88%

5 Year

18.84%

10 Year

Inception

18.58%

Expand

Fund

SCB Thai Equity Quality Portfolio (Accumulation)
FUND SUMMARY 

Fund Code

SCBQUALITYA

At

30/09/2022

YTD

-1.87%

3 Month

4.72%

6 Month

-2.17%

1 Year

6.29%

3 Year

5 Year

10 Year

Inception

3.34%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.07%

3 Month

5.13%

6 Month

7.71%

1 Year

11.59%

3 Year

5 Year

10 Year

Inception

22.52%

Expand

Fund

SCB Thai Equity Quality Portfolio (E-channel)
FUND SUMMARY 

Fund Code

SCBQUALITYE

At

30/09/2022

YTD

-1.32%

3 Month

4.92%

6 Month

-1.80%

1 Year

7.09%

3 Year

5 Year

10 Year

Inception

4.26%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.06%

3 Month

5.13%

6 Month

7.70%

1 Year

11.59%

3 Year

5 Year

10 Year

Inception

22.58%

Expand

Fund

SCB SELECTS EQUITY FUND (Dividend)
FUND SUMMARY 

Fund Code

SCBSE

At

30/09/2022

YTD

-7.68%

3 Month

0.45%

6 Month

-6.78%

1 Year

-2.97%

3 Year

-1.90%

5 Year

0.77%

10 Year

5.43%

Inception

7.22%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.74%

3 Month

5.03%

6 Month

8.36%

1 Year

12.52%

3 Year

20.31%

5 Year

17.48%

10 Year

16.61%

Inception

17.18%

Expand

Fund

SCB SELECTS EQUITY FUND (Accumulation)
FUND SUMMARY 

Fund Code

SCBSEA

At

30/09/2022

YTD

-7.71%

3 Month

0.45%

6 Month

-6.80%

1 Year

-2.99%

3 Year

-1.89%

5 Year

0.78%

10 Year

Inception

2.88%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.74%

3 Month

5.03%

6 Month

8.37%

1 Year

12.52%

3 Year

20.31%

5 Year

17.48%

10 Year

Inception

16.95%

Expand

Fund

SCB SELECTS EQUITY FUND (Individual/Group)
FUND SUMMARY 

Fund Code

SCBSEP

At

30/09/2022

YTD

-6.24%

3 Month

0.99%

6 Month

-5.81%

1 Year

-0.92%

3 Year

0.02%

5 Year

2.13%

10 Year

Inception

2.15%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.74%

3 Month

5.04%

6 Month

8.37%

1 Year

12.52%

3 Year

20.31%

5 Year

17.49%

10 Year

Inception

17.47%

Expand

Fund

SCB Thai Equity Fund (Accumulation)
FUND SUMMARY 

Fund Code

SCBTEQ

At

30/09/2022

YTD

-5.81%

3 Month

1.16%

6 Month

-6.06%

1 Year

-2.21%

3 Year

-0.20%

5 Year

0.97%

10 Year

Inception

3.41%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.60%

3 Month

5.09%

6 Month

8.36%

1 Year

12.17%

3 Year

20.20%

5 Year

17.40%

10 Year

Inception

16.35%

Expand

Fund

SCB Thai Equity CG Fund (Accumulation)
FUND SUMMARY 

Fund Code

SCBTHAICGA

At

30/09/2022

YTD

-7.64%

3 Month

0.47%

6 Month

-9.36%

1 Year

-4.94%

3 Year

-0.95%

5 Year

1.13%

10 Year

Inception

1.29%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.84%

3 Month

5.06%

6 Month

8.65%

1 Year

12.53%

3 Year

18.94%

5 Year

16.06%

10 Year

Inception

16.01%

Expand

Fund

SCB Thai Equity CG Fund (Individual/Group)
FUND SUMMARY 

Fund Code

SCBTHAICGP

At

30/09/2022

YTD

-6.89%

3 Month

0.74%

6 Month

-8.87%

1 Year

-3.91%

3 Year

-0.02%

5 Year

10 Year

Inception

1.66%

Fund

Performance SD

Fund Code
At

30/09/2022

YTD

10.84%

3 Month

5.06%

6 Month

8.65%

1 Year

12.53%

3 Year

18.94%

5 Year

10 Year

Inception

16.87%