1/4/2022

Normal Redemption Schedule of K Fixed-Dated High Yield 2023A Fund Not for Retail Investors (KHY23A-UI) Year 2022


 

​Normal Redemption Dates

Settlement Dates

(For Kasikorn Bank Account)

February 8, 2022February 17, 2022
May 10, 2022May 19, 2022
August 9, 2022August 19, 2022
November 29, 2022December 8, 2022

 

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 4, 2022


Yes
1/4/2022