Principal Vietnam Equity Index Fund (PRINCIPAL VNEI-EX)

Dividend/Auto-Redemption History

ข้อมูลกองทุน

Fund Name (short)PRINCIPAL VNEI-EXRisk Level6 (High Risk)
Fund TypeEquity Fund (Feeder Fund)Inception Date29 June 2026
Registered fund size1,000 Million THBForeign Investment PolicyYes
Dividend PolicyNoneFX Hedging PolicyAccording to the discretion of fund manager
Investment Policy 
  • The Fund has a policy to invest primarily in DCVFMVN30 ETF (Master Fund) in VND, with an average investment over an accounting year not less than 80% of fund’s NAV. The Master Fund is and ETF listed on Ho Chi Minh Stock Exchange (HOSE) in Vietnam and is managed by Dragon Capital Vietfund Management Joint Stock Company (Management Company). 
  • The master fund aims to generate returns in line with the performance of the VN30 Total Return Index (the reference index) by employing a passive investment strategy. To achieve its investment objective, when there are changes in the constituents of the reference index, the fund will rebalance and adjust its portfolio to align with the components and weightings of the securities in the reference index. The objective is for the fund’s performance to closely track that of the reference index.
Fund Manager
  • Supakorn Tulyathan
  • Chatree Meechaijaroenyin
  • Ratchanad Wangrungarun

Purchase/ Redemption

Subscription Period IPO23 - 26 June 2026 from bank business hours to 15.30 pm.
Minimum Subscription1,000 THB
Subscription Period after IPOEvery business day from bank business hours to 12.00 pm, start from 30 June 2026 onwards.
Redemption PeriodEvery business day from bank business hours to 12.00 pm, start from 30 June 2026 onwards.
Minimum RedemptionNot defined
Redemption PolicyWithin 5 Business days from NAV calculation date (Currently T+5) 
(CIMBT / SCB / KBANK / BAY / BBL / LHBANK/ KKP/ TTB/ TISCO)

Fee & Charges

Fees to Unitholder (% of Trading Value)*
Front-end fee & Switching-in FeeNot exceeding 2.14% (Actual Charge IPO: 0.40%, after IPO: 0.50%)
Back-end fee & Switching-out FeeNot exceeding 1.07% (Waived)
Brokerage FeeNot exceeding 0.54% (Actual Charge: 0.10%)
Fund Fee (% of NAV)*
Management FeeNot exceeding 2.14% p.a. (Actual Charge 0.321% p.a.)
Trustee FeeNot exceeding 0.33% p.a. (Actual Charge 0.0963% p.a.)
Registrar FeeNot exceeding 0.54% p.a. (Actual Charge 0.107% p.a.)
*Fee included VAT, Brokerage Fee excluded VAT.

Distribution Channel

  • Wealthx Securities Company Limited

Fund Performance