Data as of 24 April 2025

NAV
per unit

10.1883 USD

+0.0002 | 0.0020 %

Offer Price N/A USD
Bid Price 10.1883 USD

NAV

KFGB6MD(USD)

K Foreign Government Bond 6MD USD Fund

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Graph
Table
Date NAV Change Offer Bid Total Net Asset
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Note: NAV Value Not include Dividend

Performance

Data as of 24 April 2025
Remark:
Cumulative Total Return

Past Performance

Download

Data as of 24 April 2025

Fund NAV
(USD )
YTD 3 Months 6 Months 1 Year
(p.a.)
3 Years
(p.a.)
5 Years
(p.a.)
10 Years
(p.a.)
Since Inception
(p.a.)
Additional
Data
Benchmark Return
0.00%
N/A
N/A
N/A
N/A
N/A
N/A
N/A
Remark:
  • Past performance is not indicative of future results.
  • Returns are annualized for periods greater than 1 year.
  • For the Fund launched this year, YTD return is calculated from the report date back to the registration date.
  • N/A will be represented for benchmark returns in since inception period due to unavailable Total Return Index data for calculation in such period.
  • On the first day that a particular share class has no outstanding units, the asset management company will use the fund's daily return for that day to link with the performance of that share class, in order to ensure the performance reflects the actual investment conditions as accurately as possible.

Dividend Payment History

No. XD date Payment date Dividend
(USD /unit)
Total dividend
payment
{{ total }}
{{ data.no }} {{ data.close_at }} {{ data.pay_at }} {{ data.dividend }}
Remark:
Cumulative Total Return

Automatic Redemption Payment History

No. XD Date Payment Date Amount
(USD /unit)
Total {{ total }}
{{ data.NBR_RDM }} {{ data.RDM_DT }} {{ data.UH_UPD_DT }} {{ data.RDM_RATE_DSC }}
Remark:
Cumulative Total Return

    - The Fund will invest in bonds, debt instruments issued by governments or foreign government agencies.
    - For the investment in currencies other than US dollars (USD), the Fund will fully hedge the exchange rate risk (FX Hedging 100%).

Asset Allocation

-

Top 5 Holdings

-

    - Foreign Fixed Income Fund
    - Miscellaneous (Not classified by the definition of the Association of Investment Management Companies.)
Net Asset Value

35032865.71 USD

Data as of 24 April 2025
Dividend Policy

No

Dividend

-

Master Fund
  • Fund : -
  • ISIN Code :-
  • Bloomberg Code : -

Subscription date 31 October - 4 November 2024 , 08:30 a.m. - 03:30 p.m.
Redemption date At Maturity
Minimum initial subscription 1,000 USD
Minimum subsequent subscription None
Minimum redemption None
Fund Holiday Fund Holiday
NAV announcement date -
Settlement date T+5 from 8.30 a.m.
Subscription and redemption channels K-My Funds K-My Funds
K-Cyber Invest
K PLUS K PLUS
KASIKORNBANK
Other selling agents
(Please see list of selling agents in
Full Prospectus )

Management Fee

-

Transaction Fee
More Information​
Remark for other fees, see the prospectus for details.​

Front-end Fee : None

Back-end Fee : None

Brokerage Fee
More Information​
Remark for other fees, see the prospectus for details.​

Brokerage Fee-In : None

Brokerage Fee-Out : None

Fund Reviews

Market Update

News

Announcement

Promotion

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KFGB6MD(USD)
{"FND_RCMM_F":"N","BEST_SELLR_SCOR":null,"MRNGSTR_DSPL_F":"N","MRNGSTR_RTG":"0 "}