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LHSTRATEGY-R
NAV
As of August 6, 2026
1D Change (%)
YTD Return
1Y Return
Risk Level
Morningstar™
NAV
13.2584
As of Aug 6, 2026August 6, 2026
Return · 1 Year
▲ +32.01%
As of 30/03/2018
Inception Date
March 7, 2017
Benchmark
SET Total Return Index
Fund Size
6 M
Fund Manager
Preeyakorn Sudtasiri Jarusorn Kitprakorb
FX Hedging
Yes
Dividend Policy
No : There will be autoredemption.
Investment Objective
The Fund invests in common shares listed on the Stock Exchange of Thailand (SET) and/or the Market for Alternative Investment (mai). The Fund adopts a low-volatility investment strategy by constructing a portfolio of securities with relatively low volatility characteristics in order to minimize the overall volatility of the Fund’s investments. The Fund will maintain, on average during an accounting year, a net exposure to equities of not less than 80% of its Net Asset Value (NAV).
Investment Policy
The policy of the Fund is to invest in common stocks of the listed companies in Stock Exchange of Thailand and/or Market for Alternative Investment (MAI), focusing on investments by creating portfolio of securities which are invested by the Fund to be low volatile for minimization of overall investment volatility level. The investment in such common stocks results in net exposure of the Fund in equity instruments on the average in the accounting year not less than 80% of net asset value of the Fund. The criteria for consideration on stocks with low volatility is subject to the condition prescribed by the management company such as stock with price volatility when compared with Low Beta of SET Index and/or stock with Low VaR from investment, and/or stock with high dividend payout and/or with high growth of dividend payout, etc. The management company reserves its right to revise the criteria for consideration on selection of securities in such portfolio, and the execution is not deemed to be different from Prospectus of the Project. In addition, it is deemed to be consented from the unit investors in order to attain the Fund’s objective for decrease of overall investment volatility and for fund benefit. The Fund may invest the remaining of investment fund in other securities or assets or seeking profit by other means as specified in Prospectus of the Project, or as prescribed in the Notifications of SEC or the Office of SEC that the aforesaid investment is permitted. The investment in the aforesaid securities and/or instruments shall not affect net exposure of the Fund in stock or equity instrument less than 80% of net asset value of the Fund. The fund may invest in or hold derivatives. Derivatives are hedged on foreign exchange at the fund managers discretion. The fund has an investment strategy that expects higher return on investment than the indicated Benchmark. (Active Management)
Prospectus, reports, and key documents (PDF)
Minimum Initial Purchase
Not defined
Minimum Subsequent Purchase
Not defined
Minimum Redemption
Not defined
Trading Hours
Every business day from 8:30 a.m. to 3:30 p.m.
Redemption Settlement
within 5 business days from the next transaction date . Currently, the redemption fee is within 2 business days following the transaction date. (T+2)
Transaction Channels
Land and Houses Bank Public Company Limited Land and Houses Securities Public Company Limited or appoint selling agents
Actual fees may vary. Please refer to the fund prospectus for the most current fee schedule.
As of July 31, 2026