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LHTPROP
NAV
As of August 6, 2026
1D Change (%)
YTD Return
1Y Return
Risk Level
Morningstar™
NAV
8.7991
As of Aug 6, 2026August 6, 2026
Return · 1 Year
▲ +28.62%
As of 30/03/2018
Inception Date
September 3, 2013
Benchmark
PF&REIT Total Return Index
Fund Size
1,181 M
Fund Manager
Nattawat Kittisommanakun Preeyakorn Sudtasiri
FX Hedging
Yes
Dividend Policy
Not exceeding 12 times per annum
Investment Objective
The Fund focuses on investing in securities and/or instruments related to the real estate sector, including property funds listed in Thailand. The Fund may also invest in securities granting rights to acquire units of listed property funds on the Stock Exchange of Thailand (SET). On average over an accounting year, the Fund will invest not less than 80% of its Net Asset Value (NAV) in such securities and/or instruments.
Investment Policy
The policy of the Fund is to invest in securities or instruments in the portfolio of Property Sector Fund on the average in the accounting year not less than 80% of net asset value of the Fund under the following investment proportion classification. 1. Investment unit of Property Fund which is listed in Stock Exchange on the average in the accounting year not less than 80% of net asset value of the Fund. 2. The Fund may invest the remaining in instruments with option of acquisition of property units listed in Stock Exchange of Thailand, or yielding underlying return with investment unit of Property Fund listed in Stock Exchange of Thailand, as well as stocks in the portfolio of Property Sector Fund, financial instruments or contracts with option of acquiring such stocks, or yielding underlying return on those stocks or portfolio of stocks. The Fund may consider investing in bank deposit, debt instrument, hybrid instrument, warrant as well as other securities or assets or seeking profit by other means as specified by the Project or as prescribed in the Notifications of SEC or the Office of SEC. The fund has an investment strategy that expects higher return on investment than the Active Management.
Prospectus, reports, and key documents (PDF)
Minimum Initial Purchase
Not defined
Minimum Subsequent Purchase
Not defined
Minimum Redemption
Not defined
Trading Hours
Subscription date : Every business day from 8:30 a.m. to 3:30 p.m. Redemption date : Every business day from 8:30 a.m. to 3:30 p.m. (The unit holder must return the order and return the evidence at least 5 business days.)
Redemption Settlement
within 5 business days from the next transaction date . Currently, the redemption fee is within 3 business days following the transaction date. (T+3)
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