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DAOL EUROPE OPPORTUNITY FUND
DAOL-EUROPE

As of 28 Apr 2025

High Risk

6
NAV/Unit
8.0301
%Change
0.3411%
Selling Price8.1507Baht
Buying Price8.0301Baht
NAV47,288,149.44Baht
Registered Fund Capital1,000,000,000.00Baht
Summary Data
Fund Type Categorized by Fund PolicyMixed
Fund Type Categorized by Specific Fundกองทุนรวมหน่วยลงทุน
Register DateDate 06 Aug 2021
Project TimeNot Specified
Fund Accounting PeriodDate 31 MarchAll Year
Investment PolicyThe fund will invest in the investment units of foreign funds and/or foreign ETF funds which has a policy to invest in securities or instruments of companies that establish or operate or benefit from the growth of business in European region on average at least 80 percent of the net asset value in the fiscal year. The Fund will diversify investment in investment units of various types of funds such as fixed income funds, equity funds, property funds/REITs and infrastructure funds etc. from 0% to 100% of the net asset value depends on fund manager’s discretion. The fund will invest in the investment units of at least 2 foreign funds and/or foreign ETF funds in the portion of each fund not exceeding 79 percent of the net asset value.
Investment ObjectiveTo achieve long term return by diversified investing in the investment units of securities or instruments of companies that establish or operate or benefit from the growth of business in European region.
Investment StyleMainly diversified invest in the investment units of foreign funds and/or foreign ETF funds depending on the fund managers’ discretion.
Appropriate WithInvestors who can invest in the medium to long term and expect long-termed return from investing in companies that establish or operate or benefit from the growth of business in European region.
Auto Redemption PolicyThe fund has no auto redemption policy.
Dividend Dayment PolicyThe fund has no dividend payment policy.
Foreign Asset Exposure PolicyMutual Fund with Foreign Risk Exposure
Net Foreign Asset PolicyNot more than 79 percent of NAV
Morningstar Rating

As of 31/03/2025

Performance
Past Performance by Calendar Year
Past Performance
Performance Table

YTD

3 Months

6 Months

1 Year

3 Year

5 Year

10 Year

Since Inception

DAOL-EUROPE
6.91
1.77
3.92
1.97
0.14
0.00
0.00
-5.71
Benchmark*
6.18
0.71
2.73
-1.58
8.98
0.00
0.00
4.19

Note:

- MSCI Europe Net Total Return EUR Index in proportion of 100.00% adjusted with exchange rate to calculate the return in Thai baht on the calculation date.

- The assessment of the fund's performance as shown on this website has been following the assessment standards set by the Association of Investment Management Companies (AIMC).

- Past performance of the fund may not be indicative of future operation.

- Each investor should first understand the nature of products (funds), conditions, returns, and risks before making a decision.

- The Fund performance as shown on this website is Annualized Return calculation.- Overall Rating 2 stars : Thailand Fund Europe Equity : 31 March, 2025

- Copyright © 2024 Morningstar Research (Thailand) Ltd. All Rights Reserved. The Information herein:
(1) are proprietary to Morningstar and/or its content providers;
(2) may not be copied or distributed without express license to do so; and
(3) are not warranted to be accurate and complete, and not responsible for any damages or losses arising from any use of this information contained therein

Date
to
Performance (%)

The result as shown is calculated from Cumulative Return.

Portfolio Allocation
As of 31 Mar 2025

DAOL EUROPE OPPORTUNITY FUND (DAOL-EUROPE )

UNIT TRUST 84.91%

HEALTHCARE SERVICES 3.49%

Technology 3.06%

SAVING ACCOUNT 2.19%

Aerospace 1.96%

BANKING 1.93%

FINANCE & SECURITIES 1.45%

FOODS & BEVERAGES 1.01%

Top Holdings
As of 31 Mar 2025
ISHARES STOXXE600 UCITS ETF
49.23%
ISHARES CORE EURO STOXX50 DE
27.91%
iShares Edge MSCI Europe Momentum Factor UCITS ETF
3.82%
ESSILORLUXOTTICA
3.49%
SAP SE
3.06%
Fund Subscription and Redemption
Headline
Detail

Subscription Hours
Every business day 09:00 - 15:30
Redemption Hours
Every business day 09:00 - 15:30
Redemption Settlement
T+5
Distribution Channel
Company / Selling Agents
Minimum Initial Subscription
1.00 Baht
Minimum Subsequent Subscription
1.00 Baht
Minimum Balance
100.0000 Unit
Minimum Redemption
0.00 Baht
Front-end and Back-end fee
Headline
Detail

Front-end Fee
1.50000 %
Back-end Fee
0.00000 %
Switching-in Fee
1.50000 %
Switching-out Fee
0.00000 %
Brokerage-in Fee
0.00000 %
Brokerage-out Fee
0.00000 %
Transfer Fee
As Actual Paid

Remark: Fees are inclusive of value-added tax, specific business tax, or any other relevant taxes / see more details in the Fund fact sheet.
Download Documents
Prospectus
Download

Fund Factsheet
Download

Mutual Fund Prospectus
Download

Annual Report
Download

Semi Annual Report
Download
Annualized fee
Category
Maximum Fee

Management Fee
2.14000 %
Trustee Fee
0.10700 %
Registrar Fee
1.07000 %
Other Fee
6.42000 %

Remark: Fees are inclusive of value-added tax, specific business tax, or any other relevant taxes / see more details in the Fund fact sheet.
Subscripton Account

Bank Code

Bank Branch

Bangkok Bank Company Limited
Wireless Rd. Branch
Krungthai Bank Public Company Limited
All Season Place Branch
Bank of Ayudhya Public Company Limited
All Season Place Branch
Kiatnakin Phatra Bank Public Company Limited
Asoke Branch
TMBThanachart Bank Public Company Limited
All Season Place Branch
The Siam Commercial Bank Public Company Limited
All Season Place Branch
Land and Houses Bank Public Company Limited
Lumpini Branch
Kasikornbank Public Company Limited
All Season Place Branch
United Overseas Bank (Thai) PCL
Thanon Witthayu Branch

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87/2 CRC Tower Building Floor 52 All Seasons PlaceWireless Road, Lumpini, Pathumwan, Bangkok 10330 Thailand.

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