Principal Fixed Income 2Y1 Fund Not for Retail Investors (PRINCIPAL FI2Y1AI)

Dividend/Auto-Redemption History

Fund Details

The fund is for non-retail investors and high investment investors. Investors cannot redeem the investment units during 2 years from the registration date, If there are negative factors affecting the investment, investors may be losing a lot of their money.

Fund Name (short) PRINCIPAL FI2Y1AI Risk Level 4 (Low Risk)
Fund Type Fixed Income Fund Inception Date 23 February 2023 (Tentative)
Registered fund size THB 500 million (Greenshoe 15%) Foreign Investment Policy None
Fund Tenor The project duration is approximately 2 years.

Conditions (Fund Tenor) The tenor of the Fund is approximately 2 years (not less than 1 year and 11 months and not more than 2 years and 1 month) from the registration date.
Investment Policy 
  • The fund has a policy to invest in or hold fixed income instruments, financial instruments and/or deposits offered in countries issued by governments, state enterprises and/or private sectors that have been rated on the credit of the instrument or of the issuer's investment grade from rating agencies that has been recognized by the SEC and / or Unrated Securities and Non-investment grade securities. In the case of such instruments being Subordinated Debt, they must be given an issue rating of investment grade only.
Fund Manager
  • Supakorn Tulyathan
  • Verayuth Halilamien
  • Temduean Patjanjun
  • Nick Sriveeravanichkul

Purchase/ Redemption

Subscription Period IPO Period Only, from bank business hours – 15.30
Minimum Subscription 500,000 THB
Redemption Period The management company will automatically redeem the investment units every 6 months and/or at the maturity of the fund or other methods specified by the management company.
The payment will be made within 5 business days from the automatic redemption date. The management company will transfer the redemption money to the savings account as requested by unitholders, unless otherwise authorized by the management company.
Minimum Redemption Not defined

Fee & Charges

Fees to Unitholder (% of Trading Value)*
Front-end fee  Not exceed 2.14% (Waived)
Back-end fee Not exceed 1.07% (Waived)
Switching Fee According to the conditions of sale and redemption of investment units
Fund Fee (% of NAV)*
Management Fee Not exceed 2.14% p.a. 
Trustee Fee Not exceed 0.33% p.a. 
Registrar Fee Not exceed 0.54% p.a. 
*Fee included VAT, Brokerage Fee excluded VAT.
Note: The management company will collect management fees and registrar fees per annum based on the fund's registered value, which will be recognized as fund expenses in full on the date of collection or amortize on daily basis according to the period in which the expenses will be benefited and will be collected from the fund within 90 days from the registration date.

Distribution Channel

  • Principal TH Application
  • Government Savings Bank

Fund Performance

Date as of:
As at date :
Fund Year To Date Performance (%) 3M (%) 6M (%) 1Year (% p.a.)* 3Year (% p.a.)* 5Year (% p.a.)* 10Year (% p.a.)* Since Inception (% p.a.) * NAV (THB) Fund size (THB Million)
Principal Fixed Income 2Y1 Fund Not for Retail Investors (PRINCIPAL FI2Y1AI) 0.76 % 0.76 % 1.71 % 2.25 % 2.46 % 10.2701 419.64
Benchmark:
Benchmark :
Standard Deviation Performance 0.14 % 0.14 % 0.18 % 0.29 % 0.34 %
Standard Deviation Benchmark