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Krungsri Dividend Balance 70/30 Fund-L (KF-DB70-L)
Old Name: Krungsri Dividend Stock LTF 70/30 (KFLTFD70)
Information as of Jan 30, 2026
Fund Type
Mixed Fund
Dividend Policy
Dividend payment shall be considered from net profit and/or accrued profit. In the event that the dividend payment is less than 0.25 baht per unit, the Fund reserves the right not to pay. For further detail pertaining to dividend payment, please study Fund Prospectus and Fund Project and Commitment.
Inception Date
22 June 2007
Investment Policy
At least 65% but no more than 70% of its NAV in average in each fiscal year are invested domestic equities with attractive dividend yield.
Fund Manager
Thalit Choktippattana,Satit Buachoo
Asset Allocation
30.26%

Fixed Income Instruments issued by Bank of Thailand

0.03%

Deposits and Fixed Income Instruments issued by Financial Institutions

0.96%

Other Assets

-0.68%

Other Liabilities

69.43%

Equity and Unit Trusts

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

Transaction Details
Minimum Purchase Amount (Baht): 500
Minimum Redemption Amount (Unit): None
Transaction Period: The fund does not accept subscription and allows switch-in only from the “Legacy capital class” of the former LTF funds.
Proceeds Payment Period: 3 business days after the redemption date (T+3)
Fund Redemption Period: Every bank working day within 15:30 hrs.
Transaction Channel: Krungsri Asset Management,Online Service,AGENT
Asset Allocation (30 Jan 2026)
Fixed Income Instruments issued by Bank of Thailand27.06%
Deposits and Fixed Income Instruments issued by Financial Institutions3.10%
Equity and Unit Trusts70.03%
Other Assets0.73%
Other Liabilities-0.91%
Top Five Issuers/Guarantors
Security CodeIssue / Issuer Rating% of NAV
Bank of Thailand Bond 2/364/2025-27.06%
Advanced Info Service Plc.AAA5.70%
SCB X Plc.AA+4.50%
Delta Electronics (Thailand) Plc.-3.96%
PTT Plc.AAA3.89%
Dividend Payment History (Last 10 times or last 5 years)
(Note : Paid 15 times, totalling 8.2000 Baht.)
22 Aug 20240.1500 Bt./unit
23 Aug 20230.2500 Bt./unit
23 Aug 20220.3000 Bt./unit
23 Aug 20210.2500 Bt./unit
24 Aug 20200.4500 Bt./unit
16 Aug 20190.4000 Bt./unit
22 Aug 20180.5000 Bt./unit
23 Aug 20171.0000 Bt./unit
23 Aug 20160.5000 Bt./unit
24 Aug 20150.4000 Bt./unit
Legacy Captial Share Class Funds (Former LTF)
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Dividend Balance 70/30 Fund-L (KF-DB70-L)+1.59%+4.09%+3.07%+0.94%-4.57%-1.77%-0.46%+3.59%1,981
Benchmark(4)-0.06%+6.55%+3.69%+3.71%-4.60%+0.92%+3.30%+6.50%
Standard Deviation of Fund+8.51%+8.74%+9.40%+11.90%+9.89%+9.14%+10.52%+11.07%
Standard Deviation of Benchmark+12.98%+13.37%+11.68%+17.59%+13.98%+12.91%+14.80%+18.03%
Krungsri Growth Balance 70/30 Fund-L (KF-GB70-L)+1.66%+2.12%+2.50%-0.80%-5.75%-1.27%-0.74%+2.68%181
Benchmark(5)+1.19%+6.00%+3.69%+4.29%-2.28%+1.28%+2.84%+5.37%
Standard Deviation of Fund+8.08%+9.30%+9.81%+12.46%+10.14%+9.23%+10.85%+13.73%
Standard Deviation of Benchmark+12.25%+10.73%+14.05%+12.73%+9.90%+9.15%+10.32%+12.64%
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Dividend Stock Fund 2-L (KFSDIV2-L)+2.26%+5.58%+4.32%+0.89%-6.71%-2.71%-1.28%+5.59%8,736
Standard Deviation of Fund+12.14%+12.46%+13.16%+16.87%+14.06%+13.04%+14.66%+15.28%
Krungsri Star Equity Fund 2-L (KFSEQ2-L)+2.63%+3.09%+3.62%-1.86%-8.59%-2.09%-1.37%+3.57%766
Standard Deviation of Fund+11.35%+12.72%+13.73%+17.35%+14.27%+13.02%+14.99%+18.75%
SET TRI+1.56%+8.28%+5.24%+5.39%-4.08%+1.25%+3.47%N/A
Standard Deviation of Benchmark+14.70%+14.20%+16.58%+17.92%+14.12%+13.00%+14.83%N/A
Krungsri Active SET50 Fund-L (KF-ASET50-L)-0.74%-1.11%+1.55%-11.37%-10.70%-1.49%+0.38%+4.45%1,019
Benchmark(6)+1.02%+7.71%+4.65%+4.83%-4.25%+1.14%+3.41%+7.37%
Standard Deviation of Fund+13.21%+14.25%+15.13%+18.50%+15.02%+13.76%+15.75%+18.84%
Standard Deviation of Benchmark+13.78%+13.75%+14.02%+17.74%+14.04%+12.95%+14.81%+18.18%
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri SET50 Fund-L (KF-SET50-L)+2.60%+8.25%+4.48%+5.58%-1.83%+1.53%+2.92%+6.01%1,601
Benchmark(6)+2.92%+8.91%+4.65%+6.69%-0.82%+2.20%+3.71%+6.84%
Standard Deviation of Fund+13.51%+13.75%+13.83%+19.20%+15.04%+13.81%+16.39%+20.12%
Standard Deviation of Benchmark+13.56%+13.81%+14.02%+19.19%+15.07%+13.86%+16.53%+20.41%
Tracking Difference (TD)N/AN/AN/A-2.12%N/AN/AN/AN/A
Tracking Error (TE)N/AN/AN/A+1.92%N/AN/AN/AN/A
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Flagship All Stars Fund-L (KFFAST-L)+4.55%+6.02%+3.76%+9.09%-0.70%+1.63%N/A+0.01%299
Benchmark(7)+0.36%+7.00%+4.15%+4.14%-4.46%+1.01%N/A+1.81%
Standard Deviation of Fund+9.96%+10.29%+11.35%+13.98%+11.67%+11.17%N/A+12.42%
Standard Deviation of Benchmark+12.59%+13.17%+10.74%+17.46%+13.94%+12.89%N/A+14.85%
Krungsri Thai Small-Mid Cap Equity Fund 2-L (KFTHAISM2-L)+0.62%+0.28%+2.23%-8.59%-16.11%-4.51%N/A-4.37%185
Standard Deviation of Fund+12.48%+13.13%+15.74%+17.88%+15.17%+14.43%N/A+15.44%
Krungsri Thai All Stars Equity Fund 2-L (KFTSTAR2-L)+5.29%+5.34%+4.28%+6.95%-6.18%-1.10%N/A-5.80%682
Standard Deviation of Fund+11.99%+11.84%+15.08%+16.51%+14.04%+12.98%N/A+15.27%
Krungsri Dynamic Fund 2-L (KFDYNAMIC2-L)-2.06%-3.75%+1.45%-14.47%-10.93%-0.47%N/A-2.70%77
Standard Deviation of Fund+14.76%+15.40%+17.01%+19.47%+15.55%+14.27%N/A+16.81%
SET TRI+1.56%+8.28%+5.24%+5.39%-4.08%+1.25%+3.47%N/A
Standard Deviation of Benchmark+14.70%+14.20%+16.58%+17.92%+14.12%+13.00%+14.83%N/A
Past Performance Information as of 30/01/2026
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.

The Morningstar Indexes are the exclusive property of Morningstar, Inc. Morningstar, Inc., its affiliates and subsidiaries, its direct and indirect information providers and any other third party involved in, or related to, compiling, computing or creating any Morningstar Index (collectively, “Morningstar Parties”) do not guarantee the accuracy, completeness and/or timeliness of the Morningstar Indexes or any data included therein and shall have no liability for any errors, omissions, or interruptions therein. None of the Morningstar Parties make any representation or warranty, express or implied, as to the results to be obtained from the use of the Morningstar Indexes or any data included therein.
Remark
(1)
1. Average interest rate for one-year fixed deposits with the amount less than 5 million Baht of 3 major banks, namely, Bangkok Bank, Kasikorn Bank and Siam Commercial Bank; after tax: 50.00% 2. Net Total Return of ThaiBMA Government Bond Index with a 1-3 year tenor: 50.00%
(2)
1. SET Total Return Index (SET TRI): 50.00% 2. Average interest rate for one-year fixed deposits with the amount less than 5 million Baht of 3 major banks, namely, Bangkok Bank, Kasikorn Bank and Siam Commercial Bank; after tax: 25.00% 3. Net Total Return of ThaiBMA Government Bond Index: 25.00%
(3)
1. Zero Rate Return (ZRR) Index with an approximately 3-month tenor: 50.00% 2. Average interest rate for 3-month fixed deposits with the amount less than 5 million Baht of 3 major banks, namely, Bangkok Bank, Kasikorn Bank and Siam Commercial Bank; after tax: 50.00%
(4)
1. SET Total Return Index (SET TRI): 70.00% 2. Three-months ThaiBMA Zero Rate Return Government Bond Index (ZRR Index 3 mth): 30.00%
(5)
Average of the Set Total Return Index (SET TRI) 70% and ThaiBMA Zero Rate Return "ZRR Index" Government Bond Index (ZRR 3 mth) 30%
(6)
SET50 Free Float Adjusted Market Capitalization Weighted Total Return Index (SET50FF TRI): 100.00%
(7)
1. SET Total Return Index (SET TRI): 70.00% 2. Morningstar DM TME NR USD Index in US currency: 30.00% adjusted with the cost of foreign exchange hedging to compare with the Baht equivalent as at the date of calculation

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