Principal Sharkfin Structured Complex Return 6M1 Fund (PRINCIPAL SHARK6M1)

Dividend/Auto-Redemption History

Fund Details

“High Risk or Complex Fund”

Fund Name (Short)PRINCIPAL SHARK6M1Risk Level5 (Moderate to High Risk)
Fund Type Mixed Fund (Complex Return payout, buy-and-hold strategy)Inception Date10 April 2024 
Registered fund sizeTHB 2,000 million (Greenshoe 15%)Foreign Investment PolicyYes 
Dividend PolicyNoneFX Hedging PolicyAccording to the discretion of fund manager
Investment Policy 

Part 1: The fund will invest in government bond and/or private fixed income and/or deposits domestically and/or internationally in countries that receive investment grade credit rating, and the fund may invest in securities or other assets as specified by the SEC, approximately 95.00% - 99.00% of NAV, aiming to receive around 97% of NAV on exercise date. However, if there is any foreign investment, it will be fully hedged. 


Part 2: Approximately 1.00% - 5.00% of NAV will invest in option contract or warrant, underlying with iShares 20+ Year Treasury Bond ETF (TLT ETF) to seek additional return Investing in option or warrant will be unhedged. 
 

Fund Manager
  • Supakorn Tulyathan
  • Verayuth Halilamien
  • Nick Sriveeravanichkul
  • Temduean Patjanjun
  • Phatrabhorn Wongthaveepkij 
  • Woraphot Kunaprasit
  • Witthaya Chancharuschote 
  • Viriya Phokaisawan
  • Pancharas Siwarapornsakul
  • Nantanach Kitichalermkiat 

Purchase/ Redemption

Subscription PeriodEvery business day from bank business hours to 3.30 pm
1 – 9 April 2024 
Last IPO date, the management company reserves the right to accept payment for subscription in cash or money transfers only.
Minimum Subscription1,000 THB
Redemption PeriodNormal Redemption: None
Minimum RedemptionNot defined
Auto-Redemption PeriodAuto Redemption: 
The management company will automatically redeem all investment units within 5 business days before maturity of the fund to Unitholders.
However, the duration, amount and/or other details related to the auto-redemption will be at the discretion of the management company.
 

Fee & Charges

Fees to Unitholder (% of Trading Value)*
Front-end fee Not exceeding 2.14% (Actual Charge 0.50%)
Back-end fee Not exceeding 1.07% (Waived)
Switching FeeAccording to the conditions of sale and redemption of investment units
Fund Fee (% of NAV)*
Management FeeNot exceeding 2.14% p.a. (Actual Charge 0.535% p.a.)
Trustee FeeNot exceeding 0.33% p.a. (Actual Charge 0.0321% p.a.)
Registrar FeeNot exceeding 0.54% p.a. 
- Fee included VAT
- 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 and will be collected from the fund within 90 days from the registration date. 
 

Distribution Channel

  • TMBThanachart Bank Public Company Limited
  • Yuanta Securities (Thailand) Company Limited
  • Wealth Certified Mutual Fund Brokerage Securities Co., Ltd.
  • Asia Plus Securities Company Limited
  • Wealth Magic Company Limited
  • Thanachart Securities Public Company Limited
  • InnovestX Securities Company Limited
  • Krungsri Capital Securities Public Company Limited
  • DAOL Securities (Thailand) Public Company Limited
  • Krungsri Securities Public Company Limited
  • Kiatnakin Phatra Securities Public Company Limited
     

Fund Performance