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LHTHAIESG-A
NAV
As of August 6, 2026
1D Change (%)
YTD Return
1Y Return
Risk Level
NAV
10.2665
As of Aug 6, 2026August 6, 2026
Return · 1 Year
▲ +36.73%
Inception Date
December 20, 2023
Benchmark
100% SET ESG Total Return Index (SETESG TRI)
Fund Size
16 M
Fund Manager
Jarusorn Kitprakorb Nattawat Kittisommanakun
FX Hedging
Yes
Dividend Policy
None
Investment Policy
The Fund invests primarily in equities listed on the Stock Exchange of Thailand (“SET”), including securities listed on the main board and the Market for Alternative Investment (“mai”), which have been selected by the SET as demonstrating outstanding environmental performance (Environment) and/or sustainability characteristics (Environmental, Social and Governance: ESG). The Fund may also invest in shares of listed companies with strong corporate governance standards, as evidenced by a Corporate Governance Report of Thai Listed Companies (CGR) score of 90 points or higher, or an equivalent assessment, as evaluated by the Thai Institute of Directors Association (IOD). The Fund will maintain, on average during an accounting year, a net exposure of not less than 80% of its Net Asset Value (NAV) in the aforementioned investments. The Fund may invest in units of investment funds managed by the same Management Company, provided that such investments do not exceed 20% of the Fund’s NAV. Any such investment shall be made in accordance with the Fund’s investment policy and the rules, conditions, and requirements prescribed by the Office of the Securities and Exchange Commission (SEC). Investment Management Strategy The Fund is actively managed and seeks to generate returns that outperform its benchmark through active security selection and portfolio management. Management Style: Active Management Investment Objective: To achieve long-term capital appreciation by investing primarily in Thai listed companies with strong ESG characteristics and/or high standards of corporate governance.
Prospectus, reports, and key documents (PDF)
Trading Hours
On every business day from 8:30 a.m. to 3:30 p.m.
Redemption Settlement
within 5 business days following the transaction date. Currently, redemption proceeds are normally paid within 2 business days after the transaction date (T+2).
Transaction Channels
Land and Houses Bank Public Company Limited, Land and Houses Securities Public Company Limited, and/or any selling agent and/or redemption agent appointed by the Management Company (if any).
Actual fees may vary. Please refer to the fund prospectus for the most current fee schedule.