KFGB6MC(USD)
K Foreign Government Bond 6MC USD Fund

Investors cannot redeem this Fund before 6 months. If there are any factors negatively affect the investment of this Fund, investors may lose principal investment.
Data as of March 6,2025

NAV per unit

10.2236 USD
Change
+0.00000.0000 %
Offer Price
N/A USD
Bid Price
10.2236 USD
Net Asset Value (NAV)
15,348,369.07 USD
Registered Fund Capital
200,000,000 USD
Inception Date
5 September 2024 (Subject to change)
​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​kfgb​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​Dividend Payout Policy
 No dividend payment
XD Dates
      -

Bloomberg Ticker
           -
Master Fund's Bloomberg Ticker
        -
Fund Type / AIMC Category
• Foreign Fixed Income Fund
• Miscellaneous
Investment Policy and Strategy
• The Fund will invest in bonds, debt instruments issued by governments or foreign government agencies, denominated in US dollars (USD).
• For the investment in other currencies, the Fund will fully hedge the exchange rate risk between other currencies and USD (FX Hedging 100%).
 Buy-and-hold fund​.

Risk Spectrum

Level 3
Low to Moderate Risk

Subscription and Redemption Details

Subjects
Details
Subscription date
IPO : 30 August - 3 September 2024    between 8.30 a.m. - 3.30 p.m.​ 
 
This Fund receives the subscription amount and pay the redemption proceeds in USD. Therefore, investors in this Fund must have a Foreign Currency Deposit account (FCD) to pay for the subscription amount and receive the redemption proceeds.​​                                           

Redemption date
Redemption will be at maturity of the Fund. The Management Company will announce automatic redemption date to notify unitholders​ within 30 days from Inception Date.​​​
Minimum initial subscription
1,000 USD

Minimum subsequent subscription
-

Minimum redemption
-
Minimum​ account balance
-
NAV announcement date
Last business day of the month.​
Redemption Monies Proceeding​
The Management Company will automatically redemption the investment units and pay the redemption proceeds in USD to FCD account within 5 business days from the redemption date.

Subscription and redemption channels​

Fees charged to the Fund (% p.a. of NAV)

Lists of Fees
Details
Management fee​
Not exceeding 2.1400​%
Trustee fee
Not exceeding 0.0535%
Registrar fee
Not exceeding 0.2140%
Other fees
As it is actually incurred

Fees charged to​ Unitholders (% of trading value)

Lists of Fees
Details
Front-end fee​
None
Back-end fee
None
Brokerage fee
None
Switc​hing fee
None



Fund Performance

Data as of March 6,2025
  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.)
KFGB6MC(USD) 0.73% 1.13% 2.23% N/A N/A N/A N/A 2.24%
Benchmark Return 0.00% N/A N/A N/A N/A N/A N/A N/A

Historical NAV per unit

Date NAV per unit Change Offer Price Bid Price Net Asset Value
06/03/2025 10.2236 +0.0000|0.0000 % N/A 10.2236 15,348,369.07
05/03/2025 10.2236 +0.0071|0.0695 % N/A N/A 15,348,363.89
28/02/2025 10.2165 +0.0317|0.3112 % N/A N/A 15,337,657.33
31/01/2025 10.1848 +0.0348|0.3429 % N/A N/A 15,290,132.56
30/12/2024 10.1500 +0.0399|0.3947 % N/A N/A 15,237,947.78
29/11/2024 10.1101 +0.0360|0.3574 % N/A N/A 15,177,982.10
31/10/2024 10.0741 +0.0307|0.3057 % N/A N/A 15,123,965.32
30/09/2024 10.0434 0.0000|0.0000 % N/A N/A 15,077,818.88

Note: NAV Value Not include Dividend

Market Update

Date Topic

Announcements

Date Topic

News

Date Topic

Fund Documents

Date Topic