Investment Policy
                    
                    
                        The fund invests in securities listed on the Stock Exchange of Thailand, MAI stock exchange, ETF, Property Fund, Real estate investment trust, and Infrastructure Fund with net exposure of not less than 80% of the net asset value in the accounting period.
                    
                
                        Fund Type as Classified by AIMC Category Performance
                    
                    
                        Super Savings Fund: SSF
                    
                
                        Target Investor
                    
                    
                        1. Investors who can accept the volatility of Equity prices invested by the mutual fund, which may increase or reduced to less than the value invested and can cause losses.
2. People who can invest in medium to long-term which expect better long-term returns than investing in general debt securities
3. Investors who need tax incentives to promote long-term savings of investors and can hold investment units for not less than 10 years from the date of purchase of investment units.
                    
                
                        NAV
                    
                    
                        Risk Level with Fund Type
                    
                    
                                
                                    Risk Level:
                                
                                
                                    6
                                
                            
                        
                        Fund Features
                    
                    - 
                                Fund Type
                                
                                    - Equity Fund
 - Cross Investing Fund
 - Super Savings Fund: SSF
 - Mutual funds that invest without foreign risk
- Fund subscription (Next Round) Every subscription date by 3.30 pm.
- Fund redemption (Next Round) Every redemption date by 3.30 pm.
- Dividend Policy No Dividend Payment
- Minimum Subscription None
- Minimum Redemption None
- 
                                Settlement Period
                                
                                    T + 5
 Within 5 business days after the redemption, Please study details in the prospectus.
                        Direct Fee to Unitholder (% of NAV)
                    
                    - Front-ended Fee None
- Back-ended Fee None
- 
                                Switching Fee
                                
                                    Switching – in Not Exceed to 2.00%
 Switching - out Not Exceed to 2.00%
                        Fund Fee (% of NAV)
                    
                    - Management Fee Not Exceed to 2.1400% p.a.
- Trustee Fee Not Exceed to 0.0749%
- Register Fee Not Exceed to 0.4280%
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                    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.