Auto Redemption Schedule of K Global Income Fund-A(R) Year 2022
Auto redemption dates | Settlement dates (For Kasikorn Bank Account) |
January 11, 2022
| January 18, 2022 |
February 9, 2022
| February 15, 2022 |
March 9, 2022
| March 15, 2022 |
April 11, 2022
| April 21, 2022 |
May 12, 2022
| May 19, 2022 |
June 9, 2022
| June 15, 2022 |
July 12, 2022
| July 18, 2022 |
August 10, 2022
| August 17, 2022 |
September 9, 2022
| September 15, 2022 |
October 17, 2022
| October 21, 2022 |
November 9, 2022
| November 16, 2022 |
December 9, 2022
| December 16, 2022 |
(Last updated: December 30, 2021)
Note :
- Only unitholders whose names appear on the records of the registrar system at 8 a.m. on the auto redemption date shall receive auto redemption payment. The Management Company will transfer auto redemption amount to unitholders' KBank accounts or other bank accounts based on details in the account opening form. Please note that for other bank accounts, the auto redemption amount will be transferred by cheque.
- If the unitholder places a redemption / switch out order on the auto redemption date and causes the balanced units not enough for auto redemption order, the Management Company reserves the right to process auto redemption order for all balanced units of the unitholder.
- The auto redemption amount and payment will be subject to the Management Company's discretion, hereby the auto redemption amount will be paid from the Master Fund's dividends and/or net profit and/or retained earnings.
- However, the Management Company reserves the right not to pursue auto redemption transaction if the Management Company believes that it will benefit all unitholders. The unitholders are unable to cancel auto redemption transaction unless the Management Company will grant permission.
- The Management Company reserves the right to amend or change auto redemption schedule without prior notice.