Fund overview
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Fund structure |
Open-ended fund |
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Inception Day |
04-Feb-2021 |
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Life of the Fund |
Indefinite |
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Assets allocation |
Fixed income: 80% - 100% |
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Fund management fee |
0,9% NAV/year |
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Subscription modes |
Normal investment |
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Trading frequency |
on Tuesday, Thursday (The T date) |
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Cut-off time |
11:30 date T-1 |
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Minimum subscription |
VND100,000 (one hundred thousand) |
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Normal program |
SIP |
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Subscription fee |
0% |
0% |
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Redemption fee |
To 90 days |
0,5% |
0,5% 0% |
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Switching fee |
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0,3% |
0% |
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Investment objectives |
DFVN-FIX aims to achieve sustainable growth in the medium and long term through investment into fixed income assets with good credit quality. The investment objectives of the Fund may be changed from time to time depending on market conditions and decisions of the General Meeting of Investors or the Board of Fund Representatives in order to maximize profit for investors, while complying with the relevant laws. |
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Investment strategy |
The Fund aims to build a fixed-income portfolio including T-bills, bonds and other fixed income instruments with the investment proportion into these assets accounting for at least 80% of the Fund’s Net Asset Value |
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Risk tolerance |
Low/medium |
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Investor characteristics |
Who have long-term investment orientation and/or systematic investment plan |
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Trading confirmation |
03 days since Trading Date (T+3) but no later than the next Trading Date |
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Payment date |
05 days since trading day (T+5) |
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Dividend policy |
Yearly (if any) according to General Investors Meeting decision |
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Custodian bank, supervisory bank and fund administrator |
HSBC Bank Ltd. (Vietnam) |
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Transfer agency |
Viet Nam securities depository and clearing corproration |
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Distributors |
DFVN, VDSC, BSC, Finhay, MAS, Fincorp, BVSC, TCBS, Digi Invest, Investing Pro, Digi Finance, VPBankS, SSV, CVS, GTJA, ACBS. |
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Auditor |
PwC |
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Board of Fund Representatives |
- Mr. Huynh Van Dung |
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Fund Managers |
- Mr. Dang Nguyen Truong Tai |
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