LAND AND HOUSES FUND MANAGEMENT CO.,LTD

BESIDE, YOUR INVESTMENT

MUTUAL FUND

LH Strategy Equity Fund - Omnibus account (LHSTRATEGY-O)
As of 3 August 2026

Category

Equity Fund

Investment Policy

The Fund has a policy to invest in common shares listed on the Stock Exchange of Thailand (SET) and/or the Market for Alternative Investment (mai). The Fund adopts a low-volatility investment approach by constructing a portfolio of securities exhibiting relatively low volatility characteristics, with the objective of minimizing the overall volatility of the Fund’s investment portfolio.
Such investments will result in the Fund maintaining an average net exposure to equity instruments of not less than 80% of its Net Asset Value (NAV) during an accounting year.
The criteria for selecting low-volatility stocks are determined by the Management Company and may include, but are not limited to:

Stocks with relatively low price sensitivity to movements in the Stock Exchange of Thailand Index (Low Beta);
Stocks with relatively low investment risk, as measured by Value at Risk (VaR) or similar risk metrics;
Stocks with high dividend payout ratios and/or strong dividend growth potential; and
Other characteristics as determined by the Management Company from time to time.

The Management Company reserves the right to amend the criteria for selecting such securities without such amendment being deemed a material deviation from the Fund’s project prospectus and shall be deemed to have received the approval of the unitholders. Any such amendment shall be made with the objective of achieving the Fund’s investment goal of reducing portfolio volatility and enhancing the overall interests of the Fund.
The remaining portion of the Fund’s assets may be invested in securities, assets, or alternative investments as specified in the prospectus or as permitted by the Securities and Exchange Commission (“SEC”) and/or the Office of the SEC. Such investments must not cause the Fund’s net exposure to equities or equity-related instruments to fall below 80% of its NAV.
The Fund may also invest in or enter into derivative transactions solely for hedging purposes.
Investment Strategy
The Fund adopts an Active Management strategy and seeks to generate returns that outperform its benchmark over the long term.Provide your feedback on BizChat

Dividend Policy

None

Benchmark

100% SET Total Return Index (SETTRI).

Registration date

8 March 2017

Fund Manager Name

Preeyakorn Sudtasiri
Jarusorn Kitprakorb

RISK RATE

TRADING INFO

The gross purchase value of the first purchase (Baht): Not defined
Minimum purchase value of next purchase (Baht): Not defined
Minimum return (Baht): Not defined
Minimum return (Unit): Not defined
Trading hours: On every Business Day between 8:30 a.m. and 3:30 p.m.
Redemption Amount: within five Business Days from the redemption transaction date. (Currently, redemption proceeds are paid within two Business Days from the redemption transaction date (T+2).
Transaction channel: Land and Houses Bank Public Company Limited
Land and Houses Securities Public Company Limited
and/or any selling agent(s) and/or redemption agent(s) appointed by the Management Company (if any).