Krungsri Dynamic Fund (KFDYNAMIC)
Old Name: AYF Star Dynamic Fund (DYNAMIC)
Information as of Jul 31, 2019
Fund Type
Equity Fund
Dividend Policy
To seek long-term growth of capital.
Inception Date
6 November 2003
Investment Policy
To invest in equity instruments in an average amount per accouting period of no less than 80% of the Mutual Fund`s net asset value.
Fund Manager
Wiput Uaanant, Thalit Chokthippatana
Return Chart
NAV Movement
  • 3 Months
  • 12 Months
  • Since inception
Risk Level
High Risk

Transaction Details
Minimum Purchase Amount (Baht): 2,000
Minimum Redemption Amount (Unit): 2,000 baht or 200 units
Transaction Period: Daily during commercial bank`s business hours
Proceeds Payment Period: 3 business days after the redemption date (T+3)
Transaction Channel: Krungsri Asset Management,Online Service,ATM,AGENT
Top Five Sectors (31 Jul 2019)
Transportation & Logistics11.51%
Energy and Utilities10.39%
Construction Services8.09%
Information & Communication Technology7.79%
Top Five Holdings (31 Jul 2019)
Thanachart Capital Plc.8.66%
Total Access Communication Plc.7.79%
The Siam Commercial Bank Plc.7.56%
Krung Thai Bank Plc.6.93%
Precious Shipping Plc.6.25%
Equity Funds
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Dividend Stock Fund (KFSDIV)+1.19%+2.36%+7.28%-2.23%+5.14%+3.07%+14.33%+11.47%21,074
Standard Deviation of Fund+8.57%+8.30%+8.45%+10.69%+9.96%+10.96%+14.20%+14.80%
Krungsri Value Stock Fund (KFVALUE)+1.21%+2.34%+7.25%-2.02%+5.16%+3.26%+14.14%+8.69%1,206
Standard Deviation of Fund+8.64%+8.29%+8.44%+10.74%+10.27%+11.27%+14.53%+18.23%
Krungsri Star Equity Dividend Fund (KFSEQ-D)-0.62%+1.90%+6.55%-4.03%+3.10%+3.10%+9.95%+11.10%2,806
Standard Deviation of Fund+10.39%+10.12%+10.19%+12.56%+12.75%+13.04%+17.26%+22.99%
Krungsri Star Equity Fund (KFSEQ)-0.64%+1.99%+6.59%-4.11%+3.01%+3.03%+10.13%+7.06%2,456
Standard Deviation of Fund+10.45%+10.19%+10.23%+12.58%+12.79%+13.08%+17.24%+20.04%
Krungsri Dynamic Dividend Fund (KFDNM-D)+1.16%+2.80%+6.07%-4.10%+10.24%+5.77%+13.11%+8.52%570
Standard Deviation of Fund+12.44%+11.33%+11.41%+13.35%+13.96%+13.91%+17.17%+19.88%
Krungsri Financial Focus Dividend Fund (KFFIN-D)+4.70%+5.58%+8.78%+3.34%+12.50%+7.99%+12.88%+10.57%2,388
Standard Deviation of Fund+10.40%+9.55%+10.27%+11.99%+12.99%+13.72%+18.35%+21.78%
Krungsri Dynamic Fund (KFDYNAMIC)+1.18%+2.79%+6.01%-3.87%+10.48%+5.84%+13.20%+8.63%2,072
Standard Deviation of Fund+12.27%+11.17%+11.26%+13.21%+13.98%+13.94%+17.29%+20.32%
Krungsri Growth Equity Fund-A (KFGROWTH-A)-0.62%+1.86%+6.50%-3.73%N/AN/AN/A-11.66%28
Standard Deviation of Fund+10.27%+10.04%+10.14%+12.48%N/AN/AN/A+12.88%
Krungsri Growth Equity Fund-D (KFGROWTH-D)-0.71%+1.77%+6.41%-3.96%+3.13%+3.26%+10.52%+9.87%708
Standard Deviation of Fund+10.32%+10.06%+10.16%+12.50%+12.65%+12.98%+17.06%+20.04%
Krungsri Enhanced SET50 Fund (KFENSET50)+1.28%+4.35%+9.49%+2.00%+8.59%+5.27%+12.77%+8.60%1,669
Standard Deviation of Fund+9.93%+9.09%+9.05%+11.57%+11.39%+13.33%+17.54%+21.37%
Krungsri Thai Small-Mid Cap Equity Fund (KFTHAISM)+3.34%+6.77%+10.65%-4.56%+2.54%N/AN/A+8.10%517
Standard Deviation of Fund+11.69%+10.96%+11.44%+13.28%+13.97%N/AN/A+13.62%
Krungsri Thai All Stars Equity Fund-D (KFTSTAR-D)-1.31%-0.19%+4.23%-4.90%N/AN/AN/A-0.12%2,244
Standard Deviation of Fund+9.96%+9.64%+9.92%+12.14%N/AN/AN/A+11.14%
Krungsri Thai All Stars Equity Fund-A (KFTSTAR-A)-1.30%-0.19%+4.23%-4.85%N/AN/AN/A-8.28%281
Standard Deviation of Fund+9.96%+9.64%+9.92%+12.13%N/AN/AN/A+11.99%
Krungsri Thai Equity CG Fund (KFTHAICG)+2.81%+5.13%+10.94%-0.29%N/AN/AN/A+2.36%121
Standard Deviation of Fund+9.03%+9.14%+9.82%+11.71%N/AN/AN/A+11.76%
SET TRI+2.78%+6.32%+11.63%+3.78%+7.21%+5.92%+14.59%N/A
Standard Deviation of Benchmark+8.67%+8.07%+8.07%+10.51%+10.38%+11.60%+15.57%N/A
SET50 TRI+1.97%+5.03%+10.23%+3.31%+8.70%+5.61%+13.45%N/A
Standard Deviation of Benchmark+9.71%+9.05%+9.00%+11.80%+11.43%+13.31%+17.26%N/A
Past Performance Information as of 31/07/2019
Past performance is not guarantee of future results.
Performance numbers are calculated according to the AIMC's standard. Performance is expressed in annualized for the period ≥ 1 year.
An average one-year deposit rate of Bangkok Bank , Kasikorn Bank and Siam Commercial Bank
Average of Benchmark (1) and the TBMA Government Bond Index
Average of Benchmark (2) and the SET TRI

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