Talis Long Term
Equity Fund

TLLTFEQ

Risk Level

6

High Risk

Investment Policy Invest mainly in equities listed in the Stock Exchange of Thailand (SET) or the Market for Alternative Investment (MAI) derivative products whose return linked to those of listed equities or group of listed equities, comprising at least 65% of the net asset value of the fund.
Fund Type Equity Fund
Long Term Equity Fund: LTF
Fund Types by AIMC Equity General
Registered Fund Capital (MB) 1,000
Fund Registration Date 9 November 2016
Trustee Bangkok Bank Public Company Limited
Registrar Bank of Ayudhya Public Company Limited.
Dividend Payout Policy No dividend payment
Transaction Period (Subscription) Closure to subscription and/or switching-in services since October 1, 2020 (Except for switching-in from LTF invested before January 1, 2020) 08.30 A.M. - 3.30 P.M.
Transaction Period (Redemption) Every trading day 08.30 A.M. - 3.30 P.M.
Settlement Period T+3 (business day)
Minimum Initial Subscription Amount/Minimum Additional Subscription Amount 1,000 Baht/1,000 Baht
Minimum redemption/Minimum​ account balance Not defined/Not defined
Fees Charged to the Fund (% p.a. of NAV, included VAT)
Management fee ​Trustee fee ​Registrar fee
Stated rate in the prospectus Actual Stated rate in the prospectus Actual Stated rate in the prospectus Actual
3.2100 2.1400 0.1070 0.0316 0.1284 0.0749
Fees Charged to Unitholders (% of trading value, included VAT)​
Front-end Fee/
Switching-in Fee (from Talisam funds)
Back-end Fee Switching- in Fee
(from other asset management companies' funds)
Switching-out Fee
(to other asset management companies' funds)
Stated rate in the prospectus Actual Charged Stated rate in the prospectus Actual Charged Stated rate in the prospectus Actual Charged Stated rate in the prospectus Actual Charged
3.00 Waived 3.00 Waived 3.00 Waived 200 Baht per transaction 200 Baht per transaction