PWINRMF

Phillip World Innovation Retirement Mutual Fund

Fund Type:

Retirement Mutual Fund

Minimum Subscription Amount:

1,000 baht

Fund Registration Date:

27 October 2020

Risk Level (1 - 8):

6

Dividend Policy:

n.a

Fund Information

Fund Name:

Phillp World Innovation Retirement Mutul Fund

Fund Code:

PWINRMF

Fund Type:

Retirement Mutual Fund

https://pamcdev.cqit.sg/phillip-world-innovation-retirement-mutual-fund-pwinrmf/

Description:

The fund has a policy to invest in foreign investment units. and/or foreign ETF mutual funds With a policy to invest in stocks with high growth potential and benefit from the development of technology and innovation in the long term, PWINRMF has invested in 5 main megatrends: biotechnology, internet innovation, video game- Esports, cybersecurity and industrial innovation In this regard, the fund can adjust the additional investment ratio. To be in line with other interesting mega-trend themes in the future Therefore, the PWINRMF fund is a fund that responds to both long-term investment and retirement planning for investors.

Fund Registration Date:

27 October 2020

Ordering and Redemption of Investment Units

Initial Purchase of Investment Units

Minimum 1,000 baht

Next Time Ordering Investment Units

Minimum 1,000 baht
8.30 – 15.30 every trading day

Redemption of Investment Units

Not fixed
8.30 - 15.30 every trading day.

Refund period

Not more than T+5 business days

Fees

Fees Chargedto Unitholder(% of Trading Value) Maximum Fee Actual Fee
sales fee 0.535 do not charge
Redemption fee (Holding less than 1 year) not more than 1.07 1.07
Redemption fee (holding from 1 year) do not charge do not charge
Switching fee (switch in) 0.535 do not charge
switch off (Holding less than 1 year) Not more than 1.07 (minimum 200 baht) 1.07 (minimum 200 baht)
switch off (Holding from 1 year - within the management company) do not charge do not charge
switch off (Holding from 1 year - with other management companies) Not more than 200 baht per transaction Not more than 200 baht per transaction
Unit transfer fee at the rate prescribed by the registrar at the rate prescribed by the registrar
Fee for change of name, surname, address and issuance of investment unit certificates at the rate prescribed by the registrar at the rate prescribed by the registrar
Deduction fee for the purchase of investment units from the deposit account of unitholders Transfer Fee for Redemption of Investment Units into the deposit account of the unitholders according to the rates prescribed by commercial banks according to the rates prescribed by commercial banks
Note:
1. The above fees are VAT included. NAV means the net asset value of the Fund.

Selling Agents

Fund Documents

November 2024

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Interview with the Fund Manager

en_USEnglish