UOBSVRMF

UOB Smart Value RMF

NAV / Unit 12.9193
-0.0009 -0.0070% As of 25 Apr 2024
Fund size (Baht)
253,191,349.98
Inception Date
27 Jun 2002
Bid
12.9193
Offer
12.9194
Investment Policy
The fund will emphasize to invest in short term government fixed incomes
Fund Type as Classified by AIMC Category Performance
Short Term General Bond
Target Investor
-Who are in a high income tax bracket

-Who can continue to invest every year until 55 years old

-Who can accept low risk's level

-Who want low volatility of investment

NAV
The valuation of Thai Airways debentures has been set aside, which is effective on 18 May 2020. Click here for more details.
Risk Level with Fund Type
Risk Level: 4
Fund Features
  • Fund Type Fixed Income fund : RMF
  • Fund subscription (Next Round) Every business day
    by 3.30 p.m.
  • Fund redemption (Next Round) Every business day
    by 2.00 p.m.
  • Dividend Policy No Dividend Payment
  • Minimum Subscription No minimum
  • Minimum Redemption No minimum
  • Settlement Period T + 4
    Within 4 business days after the date of redemption, Please study details in the prospectus.
Direct Fee to Unitholder (% of NAV)
  • Front-ended Fee ≤ 0.2500%
  • Back-ended Fee ≤ 0.2500%
  • Switching Fee Switching - in Equal to Front-ended fee
    Switching - out Equal to Back-ended fee
Fund Fee (% of NAV)
  • Management Fee ≤ 0.8250% p.a.
  • Trustee Fee ≤ 0.1070% p.a.
  • Register Fee ≤ 0.1070% p.a.
Getting started
Investing now prepares you for potential long-term growth, makes your money work harder and potentially allows you to achieve your financial goals faster.