The policy of the Fund is to invest in equity instrument in the country on average in the accounting year not less than 80% of net asset value of the Fund, focusing on investment in not more than 10 selected securities. The criteria of selection shall be considered as follows.
• Consider selecting to invest in equity instrument with good basic factor or trend of high future growth; and/or
• Consider selecting to invest from current turnover; and/or
• Consider selecting to invest from trend of future turnover, considering from income that may be increased or improved turnover or higher profit.
However, the Fund Manager shall consider selecting to invest in consistency with the prescribed criteria and/or consider adjusting the invested securities and/or number of invested securities which may be more than 10 securities in consistency with economic situation and/or in line with the Notifications prescribed by SEC or Office of SEC. It shall be deemed to be consented from the unit investors.
The Fund may invest in or have Derivatives for Efficient Portfolio Management, considering from market situation at that moment, relevant regulations and other factors such as direction of security price, expenses, etc.
The fund has an investment strategy that expects higher return on investment than the indicated Benchmark. (Active Management)
BenchmarkSET Total Return Index
5 October 2017
Fund Manager Name
Land and Houses Securities Public Company Limited
or appoint selling agents