Funds krungsri Fixed Income
Krungsri Star Equity Dividend Fund (KFSEQ-D)
Old Name: AYF Star Capital Fund (AYFSCAP)
(*Best Fund Over Ten Years Award : Equity Fund by Post/Lipper Award, 2009)
Information as of Feb 29, 2024
ファンドタイプ
Equity Fund
分配方針
Maximum twice a year and at least 90% of fund`s net profit and/or accrued profit In the event that the dividend payment is less than 0.50 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.
Objective
To seek long-term growth of capital.
設定日
22 July 1997
投資方針
Minimum 80% of its NAV invested in potential high growth or good fundamental stocks of listed companies that are listed securities in SET at least 75% of NAV, which at least 50% of NAV shall be invested in stocks of listed companies in SET.
ファンドマネージャー
Peeti Pratipatpong, Thalit Choktippattana
Return Chart
NAV Movement
  • 3 Months
  • 12 Months
  • Since inception
6
Risk Level
6
High Risk

Transaction Details
最低購入金額(バーツ): 500
Minimum Redemption Amount (Unit): 500 Baht or 50 units
取引受付期間 : Every dealing date of the fund by 15.30 hrs.
解約資金受領日数: 3 business days after the execution (T+3)
Fund Redemption Period: Every dealing date of the fund by 15.30 hrs.
販売会社 : Krungsri Asset Management,Online Service,ATM,AGENT
Top Five Sectors (29 Feb 2024)
Commerce16.72%
Transportation & Logistics12.07%
Energy and Utilities11.66%
Banking11.19%
Health Care Services8.37%
Top Five Holdings (29 Feb 2024)
CP ALL Plc.9.05%
Airport of Thailand Plc.7.40%
SCB X Plc.7.00%
Bangkok Dusit Medical Services Plc.4.79%
Bangkok Aviation Fuel Services Plc.4.02%
Dividend Payment History, Last 10 times
(Note : Paid 28 times, totalling 37.4940 Baht.)
23 Aug 20210.7500 Bt./unit
16 Aug 20190.5200 Bt./unit
20 Feb 20182.0450 Bt./unit
23 Aug 20170.5000 Bt./unit
22 Feb 20170.4600 Bt./unit
23 Aug 20161.1000 Bt./unit
24 Aug 20150.0790 Bt./unit
22 Aug 20140.6900 Bt./unit
20 Feb 20140.7000 Bt./unit
22 Aug 20132.0000 Bt./unit
Equity Funds
FundHistorical ReturnsFund Size (mil)
% Cumulative Return% Annualized ReturnSince Inception
3 Months6 MonthsYTD1 Year3 Years5 Years10 Years
Krungsri Dividend Stock Fund (KFSDIV)+2.92%-6.60%+0.65%-11.62%-3.82%-6.19%-0.84%+6.09%9,627
Standard Deviation of Fund+10.27%+11.15%+10.32%+12.10%+11.39%+16.75%+14.23%+15.53%
Krungsri Value Stock Fund-A (KFVALUE-A)+2.90%-6.57%+0.64%-11.50%-3.78%-6.21%-0.73%+4.81%735
Standard Deviation of Fund+10.18%+11.05%+10.22%+11.99%+11.32%+16.54%+14.24%+17.98%
Krungsri Value Stock Fund-I (KFVALUE-I)+2.90%-6.57%+0.64%-11.50%N/AN/AN/A-9.18%0
Standard Deviation of Fund+10.18%+11.04%+10.22%+11.97%N/AN/AN/A+11.22%
Krungsri Star Equity Dividend Fund (KFSEQ-D)+3.25%-6.05%+1.20%-11.14%-1.88%-5.37%-0.66%+7.94%1,181
Standard Deviation of Fund+10.40%+11.42%+10.68%+12.31%+11.22%+16.32%+14.85%+22.05%
Krungsri Star Equity Fund (KFSEQ)+3.23%-6.01%+1.19%-11.11%-1.93%-5.40%-0.68%+3.92%930
Standard Deviation of Fund+10.37%+11.36%+10.66%+12.26%+11.20%+16.22%+14.80%+19.33%
Krungsri Dynamic Dividend Fund (KFDNM-D)+4.86%-6.27%+2.92%-6.75%+3.67%+0.24%+3.94%+6.56%463
Standard Deviation of Fund+11.61%+12.72%+11.86%+12.71%+12.16%+17.20%+15.65%+19.39%
Krungsri Financial Focus Dividend Fund (KFFIN-D)+0.28%-9.67%-2.08%-5.65%+1.23%-2.30%+3.63%+7.31%2,087
Standard Deviation of Fund+9.59%+10.82%+9.38%+12.60%+13.02%+19.42%+16.94%+21.41%
Krungsri Dynamic Fund (KFDYNAMIC)+4.94%-6.49%+3.08%-7.04%+3.57%+0.17%+3.94%+6.66%1,357
Standard Deviation of Fund+11.52%+12.78%+11.88%+12.82%+12.27%+17.24%+15.69%+19.76%
Krungsri Growth Equity Fund-A (KFGROWTH-A)+3.22%-6.13%+1.17%-11.23%-2.12%-5.30%N/A-7.31%7
Standard Deviation of Fund+10.42%+11.45%+10.71%+12.37%+11.16%+16.20%N/A+15.84%
Krungsri Growth Equity Fund-D (KFGROWTH-D)+3.23%-6.12%+1.18%-11.23%-2.11%-5.32%-0.50%+6.11%515
Standard Deviation of Fund+10.42%+11.45%+10.71%+12.37%+11.16%+16.20%+14.76%+19.34%
Krungsri Enhanced SET50 Fund-A (KFENS50-A)-0.61%-11.58%-3.18%-11.81%-2.01%-3.07%+1.81%+4.89%2,147
Standard Deviation of Fund+11.15%+12.75%+11.43%+13.25%+12.23%+18.63%+16.25%+20.81%
Krungsri Thai Small-Mid Cap Equity Fund (KFTHAISM)+4.14%-7.53%+0.18%-12.81%+0.12%-0.66%N/A+2.43%199
Standard Deviation of Fund+11.52%+12.53%+11.62%+13.21%+13.13%+16.65%N/A+15.69%
Krungsri Thai All Stars Equity Fund-D (KFTSTAR-D)+3.98%-7.13%+0.87%-12.37%-3.76%-6.49%N/A-4.65%708
Standard Deviation of Fund+10.98%+11.99%+11.34%+12.73%+11.58%+16.28%N/A+15.07%
Krungsri Thai All Stars Equity Fund-A (KFTSTAR-A)+3.98%-7.13%+0.87%-12.37%-3.76%-6.49%N/A-7.29%444
Standard Deviation of Fund+10.98%+11.98%+11.34%+12.73%+11.58%+16.28%N/A+15.58%
Krungsri Thai Equity CG Fund (KFTHAICG)+2.70%-6.40%+0.28%-10.17%-0.98%-2.15%N/A-1.31%66
Standard Deviation of Fund+10.98%+11.51%+10.93%+12.05%+11.08%+15.60%N/A+14.92%
Krungsri SET100 Fund-A (KFS100-A)-1.19%-11.91%-3.74%-12.31%-1.52%N/AN/A+1.99%186
Standard Deviation of Fund+10.67%+12.25%+11.02%+12.81%+11.84%N/AN/A+13.77%
Tracking Error (TE)N/AN/AN/A+0.36%N/AN/AN/AN/A
Tracking Difference (TD)N/AN/AN/A-0.22%N/AN/AN/AN/A
Krungsri SET100 Fund-I (KFS100-I)-1.19%-11.91%-3.74%N/AN/AN/AN/A-8.06%14
Standard Deviation of Fund+10.67%+12.25%+11.01%N/AN/AN/AN/A+12.10%
Krungsri SET50 LTF-A (KFLTF50-A)-1.21%-11.65%-3.74%-11.57%-1.19%N/AN/A+3.82%10
Standard Deviation of Fund+10.67%+12.25%+11.01%+12.85%+11.98%N/AN/A+14.06%
Tracking Error (TE)N/AN/AN/A+0.20%N/AN/AN/AN/A
Tracking Difference (TD)N/AN/AN/A-0.83%N/AN/AN/AN/A
Krungsri Dividend Stock LTF 70/30-D (KFLTFD70-D)+0.83%-6.67%-1.07%-8.40%-2.67%N/AN/A+0.89%4
Standard Deviation of Fund+7.49%+8.23%+7.71%+8.74%+8.09%N/AN/A+8.98%
Krungsri Dividend Stock LTF-D (KFLTFDIV-D)+1.12%-9.28%-1.51%-12.03%-4.14%N/AN/A+0.56%6
Standard Deviation of Fund+10.72%+11.64%+10.95%+12.51%+11.60%N/AN/A+12.89%
Krungsri Equity LTF-A (KFLTFEQ-A)+3.28%-5.97%+1.19%-11.02%-1.74%N/AN/A+3.71%0
Standard Deviation of Fund+10.44%+11.42%+10.72%+12.37%+11.25%N/AN/A+12.05%
SET TRI+0.05%-11.35%-2.54%-12.75%+0.05%-0.68%+3.52%N/A
Standard Deviation of Benchmark+10.13%+11.63%+10.41%+12.08%+11.35%+16.69%+14.42%N/A
SET50 TRI-1.06%-11.39%-3.63%-10.73%-0.69%-2.59%+2.31%N/A
Standard Deviation of Benchmark+10.67%+12.25%+11.02%+12.88%+12.06%+18.73%+16.29%N/A
SET100 TRI-1.06%-11.98%-3.65%-12.09%-1.35%-2.43%+2.44%N/A
Standard Deviation of Benchmark+10.74%+12.36%+11.08%+12.94%+11.97%+18.44%+16.05%N/A
Past Performance Information as of 29/02/2024
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%