Investment Policy
                    
                    
                        The fund will feeder to JPMorgan Investment Funds – Global Balanced Fund class: JPM Global Balanced C (acc) - USD (hedged) at least 80% of NAV. The Master Fund objective is to create the regular income in long term.
                    
                
                        Fund Type as Classified by AIMC Category Performance
                    
                    
                        Foreign Investment Allocation
                    
                
                        Target Investor
                    
                    
                        The fund aim to provide regular income to investors with a secondary focus on capital appreciation over the medium to long term by investing globally in a diverse set of traditional and alternative asset classes.The fund aim to provide regular income by the automatic unit redemption
                    
                
                            Master Fund
                        
                        
                    
                        NAV
                    
                    Auto Redemption Schedule
                        
                        
                        | No. | 
| No. | Consideration Date | Ex-Redemption Date | Auto Redemption Date | Condition | Rate (THB / Unit) | 
In sum, the fund offers auto-redemption rate 3.0755 THB/unit since inception.
                            The schedule above can be changed subjected to additional holiday announcement from master fund’s countries or Thailand.
                            
                        
                        Risk Level with Fund Type
                    
                    
                                
                                    Risk Level:
                                
                                
                                    5
                                
                            
                        
                        Fund Features
                    
                    - Fund Type Feeder fund
- 
                                Fund subscription (Next Round)
                                
                                    Every subscription date* 
 by 3.30 p.m.
- 
                                Fund redemption (Next Round)
                                
                                    Every redemption date* 
 by 2.00 p.m.
- Dividend Policy No Dividend Payment
- Minimum Subscription no minimum
- Minimum Redemption No minimum
- 
                                Settlement Period
                                
                                    T + 5
 Within 5 business days since the day after the NAV. calculation date, Please study details in the prospectus.
                        Direct Fee to Unitholder (% of NAV)
                    
                    - Front-ended Fee ≤ 2.0000%
- Back-ended Fee None
- 
                                Switching Fee
                                
                                    Switching - in Equal to Front-ended fee
 Switching - out Equal to Back-ended fee
                        Fund Fee (% of NAV)
                    
                    - Management Fee ≤ 2.1400% p.a.
- Trustee Fee ≤ 0.08025% p.a.
- Register Fee ≤ 0.4280% p.a.
                            Download Document
                        
                        
                    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.