Krungsri Happy Life Fund-A (KFHAPPY-A)
Information as of Sep 30, 2020
Fund Type
Mixed Fund
Dividend Policy
None
Inception Date
27 July 2017
Investment Policy
The Fund will invest in fixed onshore and/or offshore, listed stock, stock during IPO pending listing on the stock exchanges, as well as property units or infra units. The Fund may invest no more than 100 per cent of its NAV in units of mutual funds under management of the Management Company in accordance with the criteria and conditions prescribed by the SEC. For the remaining investment or seek investment returns by other means, onshore and offshore, as stipulated or approved by the Office of the SEC. (please see details in prospectus summary)
Fund Manager
Wiput Uaanant, Sira Klongvicha
Asset Allocation
19.58%

Instruments issued by Sovereign or Supra-national organization

9.03%

Fixed Income Instruments issued by Bank of Thailand

10.10%

Deposits and Fixed Income Instruments issued by Financial Institutions

41.84%

Fixed Income Instruments Issued by Corporates

1.32%

Other Assets

-0.45%

Other Liabilities

17.58%

Equity and Unit Trusts

0.99%

Foreign CIS - Commodity

Return Chart
NAV Movement
  • 3 Months
  • 12 Months
  • Since inception
5
Risk Level
5
Medium to High Risk

Foreign exchange risk

Thai fund will enter into a forward contract to hedge against the exchange rate risk for the value of at least 90% of the foreign investment value.
Transaction Details
Minimum Purchase Amount (Baht): 500
Minimum Redemption Amount (Unit): 500 Baht or 50 units
Transaction Period: Every bank working day within 15.30
Proceeds Payment Period: 3 working days after the redemption date (T+3)
Transaction Channel: Krungsri Asset Management,Online Service,AGENT
Asset Allocation (30 Sep 2020)
Instruments issued by Sovereign or Supra-national organization20.44%
Fixed Income Instruments issued by Bank of Thailand9.36%
Deposits and Fixed Income Instruments issued by Financial Institutions9.79%
Fixed Income Instruments Issued by Corporates41.70%
Equity and Unit Trusts17.97%
Foreign CIS - Commodity1.02%
Other Assets0.95%
Other Liabilities-1.23%
Top Five Issuers/Guarantors
Security CodeIssue / Issuer Rating% of NAV
DEBENTURES OF BANGKOK COMMERCIAL ASSET MANAGEMENT PUBLIC COMPANY LIMITED NO. 2/2560 TRANCHE 3 DUE B.E. 2566A-5.06%
BOT61/1/3Y-5.00%
Debenture of Muangthai Leasing Public Company Limited No.6/2017 Tranche 2 due 2021BBB+4.94%
Subordinated Notes intended to qualify as Tier 2 Capital of United Overseas Bank (Thai) Public Company Limited No. 1/2560 Due B.E. 2570 which will be required to be written down (fully or partially) wAAA4.44%
TLOAN54/01/15Y-4.10%
Mixed Funds
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Flexible Fund (KFFLEX)-9.03%+4.02%-21.89%-24.37%-11.24%-1.71%+3.20%+4.76%203
Standard Deviation of Fund+12.05%+17.37%+27.36%+24.15%+16.61%+14.57%+16.21%+19.49%
Krungsri Flexible Dividend Fund (KFFLEX-D)-8.93%+4.27%-21.70%-24.13%-11.06%-1.58%+3.14%+7.92%1,186
Standard Deviation of Fund+12.06%+17.46%+27.33%+24.10%+16.53%+14.48%+16.26%+19.00%
Benchmark(2)-3.55%+6.61%-9.29%-10.66%-1.44%+2.56%+4.96%N/A
Standard Deviation of Benchmark+5.07%+7.41%+11.33%+10.06%+7.63%+7.14%+8.06%N/A
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Star Multiple Fund (KFSMUL)+0.11%-0.14%+0.23%+0.87%+1.86%+2.00%+2.61%+2.97%1,736
Benchmark(4)-0.22%+0.68%+1.52%+2.16%+2.13%+2.65%+3.81%+6.05%
Standard Deviation of Fund+0.49%+0.82%+1.49%+1.32%+0.87%+0.81%+0.77%+3.70%
Standard Deviation of Benchmark+0.18%+0.45%+0.71%+0.63%+0.46%+2.82%+7.14%+9.73%
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Happy Life Fund-A (KFHAPPY-A)-2.08%+0.64%-5.23%-6.15%-0.59%N/AN/A+0.12%2,495
Benchmark(5)-1.40%+2.85%-2.93%-3.08%+0.11%N/AN/A+0.60%
Standard Deviation of Fund+2.32%+3.45%+4.95%+4.40%+3.08%N/AN/A+3.01%
Standard Deviation of Benchmark+2.21%+3.44%+4.91%+4.33%+2.87%N/AN/A+2.80%
Krungsri Good Life Fund (KFGOOD)-4.54%-0.55%-9.69%-11.54%N/AN/AN/A-4.59%980
Benchmark(6)-2.81%+5.15%-7.01%-7.78%N/AN/AN/A-3.09%
Standard Deviation of Fund+5.13%+6.81%+8.36%+7.56%N/AN/AN/A+5.94%
Standard Deviation of Benchmark+3.97%+5.82%+8.84%+7.82%N/AN/AN/A+5.81%
Krungsri Super Life Fund (KFSUPER)-6.82%-0.34%-17.29%-19.79%N/AN/AN/A-14.65%215
Benchmark(7)-4.21%+7.45%-11.10%-12.44%N/AN/AN/A-7.33%
Standard Deviation of Fund+8.04%+11.01%+15.95%+14.24%N/AN/AN/A+12.09%
Standard Deviation of Benchmark+6.17%+9.11%+13.94%+12.31%N/AN/AN/A+10.32%
Past Performance Information as of 30/09/2020
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.

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