1/13/2020

Normal Redemption Schedule of K Fixed-Dated High Yield 2023A Fund Not for Retail Investors (KHY23A-UI) Year 2020​


​Normal Redemption Dates

Settlement Dates

(For Kasikorn Bank Account)

March 3, 2020
March 11, 2020
May 26, 2020
June 5, 2020
August 25, 2020
September 2, 2020
November 24, 2020
December 3, 2020

 

Remark: The Management Company reserves the right to amend or change redemption schedule without prior notice.


For further information, please contact KAsset Contact Center at 0-2673-3888, fax to 0-2673-3988, or email: ka.customer@kasikornasset.com

 

 

 

Kasikorn Asset Management Co., Ltd.

Date January 13, 2020


Yes
1/13/2020