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LHWPLUS-E
NAV
As of August 7, 2026
1D Change (%)
YTD Return
1Y Return
Risk Level
Morningstar™
NAV
9.9917
As of Aug 7, 2026August 7, 2026
Return · 1 Year
▲ +5.26%
Inception Date
March 24, 2020
Benchmark
-
Fund Size
2 M
Fund Manager
Pornphen Chuleeprasert Nattawat Kittisommanakun
FX Hedging
No
Dividend Policy
None
Investment Objective
The Fund may invest in equity securities, debt securities, and/or units of property funds, Real Estate Investment Trusts (REITs), and infrastructure funds. The Investment Manager may adjust the allocation among such securities and instruments within a range of 0% to 100% of the Fund’s Net Asset Value (NAV), depending on market conditions, investment opportunities, and its investment outlook. The Fund may also invest in other securities or assets that the Investment Manager considers appropriate and consistent with the Fund’s investment objective.
Investment Policy
The Fund pursues a diversified investment strategy and may invest in equity securities, debt securities, hybrid securities, deposits, investment fund units, Property Sector Funds, property funds, units of Real Estate Investment Trusts (REITs), infrastructure funds, foreign real estate investment vehicles, securities issued by foreign infrastructure funds, and/or Exchange Traded Funds (ETFs) primarily investing in REITs (REIT ETFs), as well as other securities, assets, or alternative investments permitted by the Office of the Securities and Exchange Commission (SEC). The Fund may allocate its investments among the aforementioned asset classes in proportions ranging from 0% to 100% of its Net Asset Value (NAV), depending on market conditions and the Investment Manager’s assessment. The Fund may also invest overseas, provided that its average foreign investment exposure during an accounting year does not exceed 79% of its NAV. The Fund may, at the discretion of the Investment Manager, invest in financial derivative instruments (FDIs) for the purposes of efficient portfolio management (EPM) and/or hedging foreign exchange rate risk. The Fund may invest in units of mutual funds, property funds, Real Estate Investment Trusts (REITs), and/or infrastructure funds managed by the Management Company, in an aggregate amount of up to 100% of the Fund’s NAV. The Management Company reserves the right to change the Fund’s classification and special characteristics in the future to a Feeder Fund or a Fund of Funds, or to revert to a fund investing directly in domestic and/or foreign securities and financial instruments, provided that such change does not result in an increase in the Fund’s overall risk spectrum. Such changes shall be made at the discretion of the Investment Manager based on prevailing market conditions and in the best interests of unitholders. The Management Company will provide unitholders with at least 30 days’ prior notice before implementing any such change by publishing the relevant information on the Management Company’s website and the websites of distributors or redemption agents (if any). Investment Management Strategy The Fund is actively managed (Active Management) and seeks to achieve investment performance that outperforms its benchmark index over the long term.Provide your feedback on BizChat
Prospectus, reports, and key documents (PDF)
Minimum Initial Purchase
Not defined
Minimum Subsequent Purchase
Not defined
Minimum Redemption
Not defined
Trading Hours
every business day via the LHFUND ONLINE platform between 8:30 a.m. and 3:30 p.m. (Thailand time).
Redemption Settlement
within 5 business days from the business day following the NAV calculation date, i.e., within 5 business days after the transaction date (T+5).
Transaction Channels
the LHFUND ONLINE platform
Actual fees may vary. Please refer to the fund prospectus for the most current fee schedule.
As of July 31, 2026