Krungsri Asset Management Wins 3 Best Mutual Fund of the Year Awards

17 July 2025


Krungsri Asset Management proudly received the highest number of Best Mutual Fund of the Year awards at the Money & Banking Awards 2025, winning three prestigious accolades, namely
  • Best Mixed Fund: Krungsri Happy Life Fund – A (KFHAPPY-A)
  • Best SSF Fixed Income Fund: Krungsri Active Fixed Income for Saving Fund (KFAFIXSSF)
  • Best Foreign Equity Fund: Krungsri India Equity Fund – A KFINDIA-A)

In this regard, Mr. Sira Klongvicha, Chief Investment Officer, Ms. Porntipa Nungnamjai, Chief Fixed Income Investment Officer, and Mr. Jaturun Sornvai, Chief Global Investment Officer, represented the company in receiving the awards from Dr. Sethaput Suthiwartnarueput, Governor of the Bank of Thailand. These awards reflect the firm’s strong commitment to delivering sustainable returns for investors.
  • SSF is a fund designed to promote long-term savings. | Unitholders will not be entitled to tax benefits if the investment conditions are not met.
  • Investors should understand fund features, return conditions, and risks, and study the tax benefits provided in the investment manual before making an investment decision. | Past performance of mutual funds is not a guarantee of future results. The mentioned awards and rankings are not related to those organized by AIMC.
  • KFHAPPY-A invests in debt instruments, deposits, or deposit-equivalent instruments both domestically and/or internationally, as well as listed equities and IPO stocks. The fund may also invest in property or infrastructure units. It may invest up to 100% of its NAV in units of mutual funds managed by the management company. Risk Level 5: Medium to High Risk.
  • KFAFIXSSF invests domestically and/or internationally in debt instruments and/or deposits or deposit-equivalent instruments issued by government entities, state enterprises, financial institutions, and/or private sectors. Risk Level 4: Medium to Low Risk.
  • KFINDIA-A invests in units of the foreign fund, FSSA Indian Subcontinent Fund (the master fund) at no less than 80% of NAV on average over the accounting year. Risk Level 6: High Risk.
    The fund employs discretionary currency hedging; therefore, there is a foreign exchange risk which may result in a loss, a gain, or a return lower than the initial investment.
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