UTEQC1Y1

United Thai Equity Complex Return Fund 1Y1

NAV / Unit 9.9980
0.0026 0.0260% As of 03 May 2024 *Please Study FIF Calendar.
Fund size (Baht)
81,297,184.26
Inception Date
01 Sep 2023
Bid
9.9980
Offer
10.0731
Investment Policy
- Part 1 : Invest in both domestic and/or foreign debt instruments In total, approximately 95.00 to 99.90 percent of Nav, in part 1, the fund will invest in futures contracts. The objective is to hedge the risk of the exchange rate in full amount (FX Hedging). - Part 2 : The fund will allocate approximately 0.10% to 5.00% of Nav's investment to invest in futures contracts. The return is related to the level of the underlying index, the SET50 Index. In addition, the fund may consider investing in derivatives to enhance investment management efficiency and may invest in futures contracts to hedge against foreign exchange risk (FX Hedging) at the fund manager's discretion. - There is a one-time investment strategy. (buy-and-hold)
Fund Type as Classified by AIMC Category Performance
Miscellaneous
Target Investor
Investors who expect the opportunity to receive additional returns from the price movement of the SET 50 index
NAV
Risk Level with Fund Type
Risk Level: 5
Fund Features
  • Fund Type Mixed
  • Fund subscription (Next Round) Trade once during the IPO, August 21-30, 2023 from 8:30 a.m. - 3:30 p.m.
  • Fund redemption (Next Round) Automatic redemption of investment units
    The management company will automatically redeem investment units no less than 2 business days prior to the expiration date of the project. The management company will automatically redeem the investment units to the unitholders at the redemption price on the automatic redemption date.
  • Dividend Policy No Dividend Payment
  • Minimum Subscription No Minimum
  • Minimum Redemption No Minimum
  • Settlement Period Within 5 business days from the automatic redemption date
Direct Fee to Unitholder (% of NAV)
  • Front-ended Fee ≤ 2.0%
  • Back-ended Fee No
  • Switching Fee Switching - in ≤ 2%
    Switching - out ≤ 2%
Fund Fee (% of NAV)
  • Management Fee ≤ 1.07% p.a.
  • Trustee Fee ≤ 0.08025%
  • Register Fee ≤ 0.4280%
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.
Investors cannot redeem this investment unit within a period of not more than 1 year and 1 month.
Therefore, if there are negative factors that affect such investments investors may lose a large amount of their investment.

This fund is high risk or complex. Investors should seek additional advice from business operators before investing.