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Sub Anan Open-end Fund (SAN) Category :  Equity Fund  
Risk Level :  6
  FUND INFORMATION
Type : Open-ended
Inception : 24 Apr 2002
Life : Indefinite
Registered Size : Baht 2,000 mil.
Current Size : 177.14 ml.Baht
Investment Policy : Not less than 65% of NAV in equity
shares
Dividend Policy : At least once a year at the rate of not
less than 50% but exceeding 95% of the net profit (realized)
for each period
Main Risks : Market risk, Sector risk, Company risk
  MANAGEMENT COMPANY
Name : MFC Asset Management Plc.
Address : G Floor & 21st-23rd Floors, Column Tower
199 Ratchadapisek Rd., Klongtoey, BKK
Telephone : 0-2649-2000
Fax : 0-2649-2100
E-Mail : mfccontactcenter@mfcfund.com
Fund Manager : MFC Asset Management Plc.
Supervisor: Kasikorn Bank Plc.
Registrar : MFC Asset Management Plc.
Auditor : ANS Audit Ltd.
  UNIT PURCHASE AND REDEMPTION
Purchase Date: every business day
Initial Purchase : Baht 10,000
Subsequent Purchase : Baht 1,000
Redemption Date : every business day
Minimum Redemption : Not specified
Minimum Balance : Not specified
Secondary Market : None
  FEES AND CHARGES
Client's Fees
Brokerage Fee : None
 
Front-end Fee : 0.50% of investment units value
 
Back-end Fee : None
 
Switching Fee : None
 
Unit Transfer Fee : Baht 50 per transaction
 
Fund's Fees and Expenses
Management Fee : Not exceeding 1% p.a.
of the fundís NAV
Supervisory Fee : Not exceeding 0.08% p.a.
of the fundís NAV
Registrar Fee : 0.10% p.a. of the fundís NAV
Others : As actually paid
  
  FUND PERFORMANCE
  PERFORMANCE 30/01/2015
NET ASSET VALUE : 177.14 ml.Baht   PER UNIT : 18.7705 Baht       
Fund Performance *
  3 Months 0.81 %   
   (Benchmark) -0.18 %   
 
  3 Years 60.96 %    
   (Benchmark) 43.89 %    
  6 Months 12.16 %   
   (Benchmark) 5.40 %   
 
  Since Inception 583.83 %    
   (Benchmark) 309.11 %    
  12 Months 35.76 %   
   (Benchmark) 24.09 %   
 
AIMC Compliance
 HISTORICAL PERFORMANCE
Year Q1 Q2 Q3 Q4 Total
20149.52 %7.93 %12.63 %-2.55 %29.75 %
201314.82 %-6.17 %-4.03 %-10.46 %-7.43 %
201216.95 %-1.62 %10.25 %8.65 %37.81 %
SECTOR WEIGHTINGS ( % of NAV)   ASSET ALLOCATION (% of NAV)
A.EQUITIY
(%)   
INFORMATION & COMMU. 20.15 
BANKING 14.05 
PROPERTY DEVELOPMENT 12.92 
ENERGY 10.9 
TRANSPORTATION 6.92 
OTHER SECTORS 34.12 
  99.06
B. BOND & DEBENTURE  
 
 
 
C. MONEY MARKET INSTRUMENTS
  0.94
TOTAL 100.00
 
  TOP 5 HOLDINGS (By Company as % of NAV)
EQUITY SECURITIES (%)   
INTUCH 8.11  
KRUNG THAI BANK PLC. 7.22  
KASIKORNBANK PLC. 6.83  
PTT PLC. 6.64  
ADVANCED INFO SERVICE PLC. 4.99  
 
BOND & DEBENTURE
Rating
(%) 
Total 33.79     Total         
There is risk associated with this investment, investors should carefully study information before making the decision to invest.
Past performance of a mutual fund does not guarantee its future performance.
  * In case of Fund has dividend payment policy, Fund Performance Calculation will use the Modified Dietz Method for dividend adjusted
Remarks :
HISTORY DIVIDEND PAYMENTS PER UNIT (BAHT)
Year Q1 Q2 Q3 Q4 Total (BAHT)
2015     
2014     
2013  2.0000 2.0000