PFIXRMF

Phillips Fixed Income Retirement Mutual Fund

Fund Type:

Retirement Mutual Fund

Minimum Subscription Amount:

5,000 baht

Fund Registration Date:

18 September 2007

Risk Level (1 - 8):

5

Dividend Policy:

n.a

Fund Information

Fund Name:

Phillips Fixed Income Retirement Mutual Fund (PFIXRMF)

Fund Code:

PFIXRMF

Fund Type:

Retirement Mutual Fund

https://pamcdev.cqit.sg/phillip-fixed-income-retirement-mutual-fund-pfixrmf/

Description:

It is a special mutual fund as an alternative for saving money for retirement. They also receive tax benefits. According to the conditions of the Revenue Department, suitable for all groups of people who want to save money to create financial stability in the future. after retirement

Fund Registration Date:

18 September 2007

Ordering and Redemption of Investment Units

Initial Purchase of Investment Units

Minimum 5000 baht

Next Time Ordering Investment Units

Minimum 2000 baht
8.30 – 15.30 every trading day

Redemption of Investment Units

No minimum requirement
8.30 - 12.00 every working day

Refund period

Not more than T+2 business days

Fees

Fees Chargedto Unitholder(% of Trading Value) Maximum Fee Actual Fee
Annual Management Fee : Not more than 0.856 % Actual store 0.2675%
Trustee Fee Not more than 0.1819% Actual store 0.0321 %*
Trustee Fee (domestic) Not more than 0.0749% -
Trustee Fee (Overseas) Not more than 0.1070% -
Registrar Fee Not more than 0.1070% Actual store 0.0641 %
Other expenses Not more than 1.2626% Actual store 0.6235 %
Sales fee do not have -
Redemption Fee do not have -
Switching fee not more than 200 per switch-out -
Note:
1. The above fees are VAT included. NAV means the net asset value of the Fund.

Selling Agents

December 2024

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