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LH GLOBAL EQUITY DIVIDEND FUND - Accumulation
NAV
As of September 14, 2026
1D Change
YTD Return
1Y Return
Risk Level
Morningstar™
NAV
12.9031
As of Sep 14, 2026September 14, 2026
Return · 1 Year
▲ +10.95%
Inception Date
May 30, 2022
Benchmark
100% of the Master Fund’s performance, adjusted for the cost of hedging 80% of the foreign exchange exposure and for foreign exchange movements on the remaining 20% to calculate returns in Thai Baht (THB), as of the performance calculation date. The above benchmark change will become effective on 1 December 2025.
Fund Size
33 M (THB)
Fund Manager
Viriya Phokaisawan Pornphen Chuleeprasert
FX Hedging
Yes
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 in units of VanEck Morningstar Developed Markets Dividend Leaders UCITS ETF (the “Master Fund”), an Exchange Traded Fund (“ETF”). The Master Fund is listed on multiple stock exchanges, including Euronext Amsterdam (the Netherlands), Euronext Brussels (Belgium), London Stock Exchange (United Kingdom), Deutsche B?rse (Germany), SIX Swiss Exchange (Switzerland), Borsa Italiana (Italy), and Euronext Paris (France). The Fund will invest in the share class of the Master Fund traded on the London Stock Exchange (LSE) and denominated in U.S. Dollars (USD). The Master Fund is a sub-fund of VanEck ETFs N.V. and is managed by VanEck Asset Management B.V. It is incorporated under the laws of the Netherlands, regulated by the Authority for the Financial Markets (AFM), and qualifies as a UCITS (Undertakings for Collective Investment in Transferable Securities) fund. The Fund will invest, on average over an accounting year, not less than 80% of its Net Asset Value (NAV) in units of the Master Fund.
Prospectus, reports, and key documents (PDF)
Trading Hours
On every Business Day, from 8:30 a.m. to 3:30 p.m.
Redemption Settlement
within 5 business days from the day following the Net Asset Value (NAV) calculation date, excluding foreign market holidays. Currently, payment is made within T+3 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)
Actual fees may vary. Please refer to the fund prospectus for the most current fee schedule.
As of August 31, 2026