Thanachart Fund Management Company
List of funds and investment policies
Money Market Fund
Fund Code |
T-CASH |
Fund name |
Thanachart Cash Management Fund |
Investment policy |
The Fund investment approach is to preliminary invest in short term deposits and domestic fixed income instruments with a residual maturity not exceeding 397 days from the Investment date. In addition, the fund may invest in derivatives instrument for hedging purpose but will not invest in derivatives or structure note. |
Risk level |
1 (Low) |
Dividend Policy |
No |
Fixed income Fund
Fund Code |
TMB-T-ES-Iplus |
Fund name |
TMB Thanachart Eastspring Income Plus Fund |
Investment policy |
The Fund will invest in investment grade domestic and/or foreign fixed income instruments issued by government and/or private sectors and/or invest in Reverse Repo and/or other instruments according to SEC requirement/ approval. |
Risk level |
4 (Medium to Low) |
Dividend Policy |
No |
Mixed Fund
Fund Code |
T-STSD |
Fund name |
Thanachart Sa-Thien Sab Dividend Fund |
Investment policy |
The Fund investment approach is to invest in domestic equity at least 35% and not exceed 65% with medium to long term investment objective. The rest will be invested in fixed income instruments or others which comply with the SEC's regulation. |
Risk level |
5 (Medium to High) |
Dividend Policy |
Yes |
Equity Fund
Fund Code |
T-LowBeta |
Fund name |
Thanachart Low Beta Fund |
Investment policy |
The Fund will preliminary invest at least 80% of its NAV in any accounting period in domestic stocks with low correlation to the SET Index and whose beta do not exceed 1. In case any stocks having beta exceed 1, the corrective action will be done within 30 days after end of fund accounting period. |
Risk level |
6 (High) |
Dividend Policy |
No |
Feeder Fund - Equity
Fund Code |
T-ES-GTech |
Fund name |
Thanachart Eastspring Global Technology Fund |
Investment policy |
The Fund will preliminary in POLAR CAPITAL FUNDS PLC-GLOBAL TECHNOLOGY FUND Class I US Dollar not less than 80% of the asset. The master fund's objective is long term capital appreciation by way of investing in a globally diversified portfolio of technology companies. Although the Fund may receive income in the form of dividends, interest and from other sources, income is not a primary consideration. The Fund wil invest at least 51% of its gross assets on a continuous basis directly in Equity Participations.The Fund will invest at least two thirds of its total assets in technology-related companies worldwide.d. |
Risk level |
7 (high) |
Dividend Policy |
No |
Fund Code |
tsp5-gogetter |
Fund name |
ttb smart port 5 go-getter fund |
Investment policy |
This is a Fund of Funds that will invest in the units of other funds (target funds), comprising at least 2 or more domestic or foreign funds. Average weighting will account for at least 80% of NAV during the financial year. The target funds will feature policies to invest in equities. Fund has appointed Amundi Asset Management to perform the duties as fund manager (outsourced fund manager). |
Risk level |
6 (high) |
Dividend Policy |
No |
Foreign Fund - Fixed Income
Fund Code |
tsp1-preserver |
Fund name |
ttb smart port 1 preserver fund |
Investment policy |
This is a Fund of Funds that will invest in the units of other funds (target funds), comprising at least 2 or more domestic or foreign funds. Average weighting will account for at least 80% of NAV during the financial year. The target funds will feature policies to invest in fixed income or other securities and assets permitted by the SEC. Fund has appointed Amundi Asset Management to perform the duties as fund manager (outsourced fund manager). |
Risk level |
4 (medium to low) |
Dividend Policy |
No |
Foreign Fund - Mixed
Fund Code |
tsp2-nurturer |
Fund name |
ttb smart port 2 nurturer fund |
Investment policy |
This is a Fund of Funds that will invest in the units of other funds (target funds), comprising at least 2 or more domestic or foreign funds. Average weighting will account for at least 80% of NAV during the financial year. The target funds will feature policies to invest in equities, fixed income instruments, alternative investments, or other securities and assets permitted by the SEC. The fund prescribes that investment in equities will not exceed 40% of NAV. Fund has appointed Amundi Asset Management to perform the duties as fund manager (outsourced fund manager). |
Risk level |
5 (Medium to High) |
Dividend Policy |
No |
Fund Code |
tsp3-balancer |
Fund name |
ttb smart port 3 balancer fund |
Investment policy |
This is a Fund of Funds that will invest in the units of other funds (target funds), comprising at least 2 or more domestic or foreign funds. Average weighting will account for at least 80% of NAV during the financial year. The target funds will feature policies to invest in equities, fixed income instruments, alternative investments, or other securities and assets permitted by the SEC. The fund prescribes that investment in equities will not exceed 80% of NAV. Fund has appointed Amundi Asset Management to perform the duties as fund manager (outsourced fund manager). |
Risk level |
5 (Medium to High) |
Dividend Policy |
No |
Fund Code |
tsp4-explorer |
Fund name |
ttb smart port 4 explorer fund |
Investment policy |
This is a Fund of Funds that will invest in the units of other funds (target funds), comprising at least 2 or more domestic or foreign funds. Average weighting will account for at least 80% of NAV during the financial year. The target funds will feature policies to invest in equities, fixed income instruments, alternative investments, or other securities and assets permitted by the SEC. The fund prescribes that investment in equities 0 - 100% of NAV. Fund has appointed Amundi Asset Management to perform the duties as fund manager (outsourced fund manager). |
Risk level |
5 (Medium to High) |
Dividend Policy |
No |