Krungsri Star Plus Fund (KFSPLUS)
Old Name: AYF Star Plus Fund (AYFSPLUS)
Information as of Jul 31, 2019
Fund Type
Fixed Income Fund
Dividend Policy
None
Objective
To seek current income and consistent capital appreciation.
Inception Date
19 December 1997
Investment Policy
To invest in high quality fixed income securities.
Fund Manager
Sira Klongvicha, Theerapab Chirasakyakul
Asset Allocation
23.86%

Fixed Income Instruments issued by Bank of Thailand

63.63%

Deposits and Fixed Income Instruments issued by Financial Institutions

10.49%

Fixed Income Instruments Issued by Corporates

2.41%

Other Assets

-0.39%

Other Liabilities

Return Chart
NAV Movement
  • 3 Months
  • 12 Months
  • Since inception
4
Risk Level
4
Medium to Low Risk

Transaction Details
Minimum Purchase Amount (Baht): 1,000
Minimum Redemption Amount (Unit): 1,000 baht or 100 units
Transaction Period: Daily during commercial bank`s business hours
Proceeds Payment Period: 1 business days after execution
Transaction Channel: Krungsri Asset Management,Online Service,ATM,AGENT
Asset Allocation (31 Jul 2019)
Fixed Income Instruments issued by Bank of Thailand33.02%
Deposits and Fixed Income Instruments issued by Financial Institutions57.65%
Fixed Income Instruments Issued by Corporates7.78%
Other Assets2.46%
Other Liabilities-0.91%
Top Five Issuers/Guarantors (31 Jul 2019)
Bank of Thailand33.02%
Bank of China (Macau Branch)11.06%
Government Housing Bank10.21%
Doha Bank8.06%
Ahli Bank QSC.8.03%
Top Five Securities
Security CodeIssue / Issuer Rating% of NAV
Bank of China (Macau Branch)A5.06%
Doha BankA4.54%
BOT62/30/14D-4.25%
Ahli Bank QSC.A24.11%
Ahli Bank QSC.A23.92%
Fixed Income Funds
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Medium Term Fixed Income Fund (KFMTFI)+0.91%+1.38%+1.52%+2.05%+1.72%+2.11%+2.37%+2.83%8,051
Standard Deviation of Fund+0.34%+0.27%+0.28%+0.27%+0.32%+0.40%+0.44%+0.63%
Krungsri Medium Term Fixed Income Dividend Fund (KFMTFI-D)+1.08%+1.54%+1.69%+2.26%+1.73%+2.15%+2.38%+3.26%820
Standard Deviation of Fund+0.46%+0.36%+0.38%+0.35%+0.37%+0.43%+0.45%+0.97%
Benchmark(2)+3.81%+4.38%+4.73%+6.18%+2.55%+3.47%+3.31%N/A
Standard Deviation of Benchmark+1.53%+1.23%+1.29%+1.10%+0.97%+1.13%+1.15%N/A
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Star Plus Fund (KFSPLUS)+0.43%+0.80%+0.94%+1.50%+1.40%+1.57%+1.87%+3.49%54,237
Benchmark(4)+0.36%+0.71%+0.83%+1.32%+1.23%+1.29%+1.59%+2.55%
Standard Deviation of Fund+0.07%+0.07%+0.07%+0.06%+0.06%+0.07%+0.14%+0.95%
Standard Deviation of Benchmark+0.02%+0.02%+0.03%+0.03%+0.03%+0.04%+0.08%+0.64%
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Smart Fixed Income Fund (KFSMART)+0.54%+0.99%+1.14%+1.72%+1.60%N/AN/A+1.58%39,398
Benchmark(5)+0.46%+0.91%+1.06%+1.69%+1.56%N/AN/A+1.56%
Standard Deviation of Fund+0.11%+0.11%+0.11%+0.10%+0.11%N/AN/A+0.11%
Standard Deviation of Benchmark+0.09%+0.08%+0.08%+0.08%+0.07%N/AN/A+0.07%
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Active Fixed Income Fund (KFAFIX)+1.45%+2.04%+2.34%+3.27%N/AN/AN/A+2.55%20,391
Benchmark(6)+1.71%+2.27%+2.64%+3.69%N/AN/AN/A+2.44%
Standard Deviation of Fund+0.69%+0.62%+0.69%+0.64%N/AN/AN/A+0.57%
Standard Deviation of Benchmark+0.66%+0.55%+0.61%+0.56%N/AN/AN/A+0.56%
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.

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