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LHDRAM-AI
NAV
As of August 6, 2026
1D Change (%)
YTD Return
1Y Return
Risk Level
NAV
8.5842
As of Aug 6, 2026August 6, 2026
Return · 1 Year
–
Inception Date
July 13, 2026
Benchmark
The performance of the underlying fund, with 100% allocation, adjusted for foreign exchange hedging costs on 80% of the portfolio and adjusted for exchange rate movements on the remaining 20%, expressed in Thai baht terms as of the performance calculation date.
Fund Size
26 M
Fund Manager
Ponlasin Kijmuntarvorn Pornphen Chuleeprasert
FX Hedging
No
Dividend Policy
None
Investment Policy
The Fund has a policy to invest in units of a foreign mutual fund (the “Master Fund”) that primarily invests in equity securities. The Fund will invest, on average during an accounting period, not less than 80% of its Net Asset Value (NAV) in units of the Master Fund. The Fund will invest in units of Roundhill Memory ETF (the “Master Fund”), denominated in U.S. Dollars (USD) and listed exclusively on the Cboe BZX Exchange, Inc. (“Cboe BZX”) in the United States. The Master Fund is established under the laws of the United States of America (USA). Its primary investment adviser is Roundhill Financial Inc. (“Roundhill” or the “Adviser”), which is responsible for overseeing the operations and investment program of the Master Fund. Exchange Traded Concepts, LLC (“ETC” or the “Sub-Adviser”) serves as the sub-investment adviser and is responsible for managing the Master Fund’s investment program in accordance with its principal investment objective. The Master Fund is regulated by the U.S. Securities and Exchange Commission (“U.S. SEC”), the principal securities regulator of the United States, which is a member of the International Organization of Securities Commissions (“IOSCO”).
Prospectus, reports, and key documents (PDF)
Minimum Initial Purchase
1,000 บาท
Minimum Subsequent Purchase
100 บาท
Minimum Redemption
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Trading Hours
on every dealing day from 8:30 a.m. to 3:30 p.m.
Redemption Settlement
Within five business days from the day following the NAV Calculation Date, excluding foreign market holidays. (Currently, redemption proceeds are paid within T+2 business days from the redemption transaction date.)
Transaction Channels
Land and Houses Bank Public Company Limited Land and Houses Securities Public Company Limited Appointed selling agents and/or redemption agents (if any) And/or any other channels or methods to facilitate unitholders in the future
Actual fees may vary. Please refer to the fund prospectus for the most current fee schedule.