Signature Global Dynamic Income Fund R (SIGNATURE GINCOME-R)

Dividend/Auto-Redemption History

Fund Details

Fund Name (Short)SIGNATURE GINCOME-RRisk Level5 (Moderate to High Risk)
Inception Date29 April 2025Fund Type Fixed Income Fund, Feeder Fund
Registered fund size1,000 Million THB (Greenshoe 15%)Foreign Investment PolicyYes
Dividend PolicyNoneForeign exchange rateAccording to the discretion of fund manager
Investment Policy 
  • The Fund will feed not less than 80% of its NAV in average per year in Signature Dynamic Income Fund (Master Fund) Share Class USD. The Master Fund manage by Principal Asset Management Berhad.
  • The Master Fund will be managed with the aim to provide investors with regular income over the medium to long term through investments globally. The Fund seeks to achieve its objective through a diversified mix of asset classes such as equities, debt securities, money market instruments, and/or ETF.
    The asset allocation strategy for this Fund is as follows: 1) At least 75% of the Fund’s NAV in debt securities, 2) up to 10% of the Fund’s NAV in equity securities; and 3) up to 15% of the Fund’s NAV may be invested in liquid assets i.e., money market instruments and Deposits for liquidity management purpose. However, The minimum of 45% of the Fund’s NAV may be invested in investment grade debt securities.
Fund Manager  
  • Woraphot Kunaprasit
  • Witthaya Chancharuschote

Purchase/ Redemption

IPO Period8 -25 April 2025, from bank business hours to 15.30 pm
After IPO Subscription PeriodEvery business day, from bank business hours to 15.30 pm, start from 6 May 2025* onwards
Minimum Subscription1,000 THB
Redemption PeriodNormal redemption: Every business day from bank business hours to 15.00 pm, start from 6 May 2025* onwards.   Auto-redemption: Consider to pay not more than 12 times per year. The management company will use the money from the auto-redemption to purchase the PRINCIPAL TRESURY within 5 business days from the auto-redemption date.
Minimum RedemptionNot defined
Redemption PolicyWithin 5 Business days from NAV calculation date (Currently T+6) *If the date falls on a holiday, it will be postponed to the next business day. (CIMBT / SCB / KBANK / BAY / BBL / LHBANK/ KK/ TTB/ Tisco)

Fee & Charges

Fees to Unitholder (% of Trading Value)* 
Front-end feeNot exceed 2.14% (Currently 0.50%)
Back-end feeNot exceed 1.07% (Waived)
Switching FeeAccording to the conditions of sale and redemption of investment units
Fund Fee (% of NAV)*
Management FeeNot exceed 2.14% (Actual Charge 0.9630% p.a.)
Trustee FeeNot exceed 0.33% (Actual Charge 0.0321% p.a.)
Registrar FeeNot exceed 0.54%  (Actual Charge 0.321% p.a.)
*Fee included VAT 

Distribution Channel

  • Principal TH Application
  • CIMB Thai Bank Public Company Limited

Fund Performance