AIMC Performance 1

Type: 1 - Equity Fund

 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -8.33% -5.09% -5.78% 2.72% -0.24% 11.37% 1.30% 11.67%
Benchmark 31 Oct 2019 -5.59% -2.96% -1.04% 5.50% 3.41% 12.72% 5.40% 8.01%
Fund Standard Deviation 31 Oct 2019 0.67% 0.60% 9.11% 9.88% 9.37% 12.80% 0.54% 24.96%
Benchmark Deviation 31 Oct 2019 0.69% 0.61% 9.51% 10.68% 11.18% 14.41% 0.56% 27.05%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -8.20% -5.12% -5.20% 3.04% -0.04% 11.13% 1.48% 10.13%
Benchmark 31 Oct 2019 -5.59% -2.96% -1.04% 5.50% 3.41% 12.72% 5.40% 9.52%
Fund Standard Deviation 31 Oct 2019 0.68% 0.61% 9.19% 9.83% 9.51% 13.20% 0.55% 15.91%
Benchmark Deviation 31 Oct 2019 0.69% 0.61% 9.51% 10.68% 11.18% 14.41% 0.56% 18.30%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -12.41% -8.32% -13.07% -1.66% -1.10% 12.75% -4.33% 10.67%
Benchmark 31 Oct 2019 -5.59% -2.96% -1.04% 5.50% 3.41% 12.72% 5.40% 10.25%
Fund Standard Deviation 31 Oct 2019 0.63% 0.57% 8.79% 10.34% 9.35% 13.44% 0.53% 15.83%
Benchmark Deviation 31 Oct 2019 0.69% 0.61% 9.51% 10.68% 11.18% 14.41% 0.56% 18.79%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -7.92% -5.51% -6.98% -0.04% -1.00% 7.62% 0.99% 6.23%
Benchmark 31 Oct 2019 -5.59% -2.96% -1.04% 4.46% 2.80% 12.38% 5.40% 11.00%
Fund Standard Deviation 31 Oct 2019 0.62% 0.56% 8.42% 9.45% 8.27% 9.72% 0.50% 11.84%
Benchmark Deviation 31 Oct 2019 0.69% 0.61% 9.51% 10.30% 10.96% 14.34% 0.56% 19.19%

Type: 2 - Mixed Fund

 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -4.95% -2.06% -2.14% 2.56% 0.78% 8.35% 2.43% 9.99%
Benchmark 31 Oct 2019 -2.49% 1.00% 3.77% 5.11% 4.00% 8.50% 7.61% 8.72%
Fund Standard Deviation 31 Oct 2019 0.42% 0.39% 5.90% 6.77% 6.40% 8.77% 0.35% 11.04%
Benchmark Deviation 31 Oct 2019 0.44% 0.61% 9.87% 7.00% 7.37% 9.44% 0.64% 10.83%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -1.43% 1.73% 2.58% 2.61% 1.75% 8.86% 4.41% 8.36%
Benchmark 31 Oct 2019 0.21% 4.29% 7.50% 5.27% 4.10% 8.55% 9.00% 7.24%
Fund Standard Deviation 31 Oct 2019 0.22% 0.22% 3.20% 3.66% 3.60% 7.28% 0.19% 10.09%
Benchmark Deviation 31 Oct 2019 0.25% 0.85% 14.32% 4.05% 4.27% 7.77% 0.98% 9.85%

Type: 3 - Fixed Income Fund

 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 0.68% 1.32% 2.21% 1.40% 1.51% n/a 1.78% 1.85%
Benchmark 31 Oct 2019 0.76% 1.45% 2.66% 1.88% 2.05% n/a 2.12% 2.46%
Fund Standard Deviation 31 Oct 2019 0.04% 0.03% 0.35% 0.41% 0.43% n/a 0.02% 0.46%
Benchmark Deviation 31 Oct 2019 0.04% 0.23% 4.68% 0.36% 0.40% n/a 0.32% 0.44%

Type: 4 - Money Market Fund

 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 0.31% 0.64% 1.21% 1.03% 1.08% 1.50% 1.03% 1.63%
Benchmark 31 Oct 2019 0.44% 0.88% 1.69% 1.45% 1.26% 1.32% 1.42% 1.38%
Fund Standard Deviation 31 Oct 2019 0.01% 0.00% 0.08% 0.07% 0.08% 0.19% 0.00% 0.25%
Benchmark Deviation 31 Oct 2019 0.02% 0.13% 3.07% 0.10% 0.11% 0.12% 0.21% 0.14%

Type: 5 - FIF Fund

 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -2.30% -2.53% 3.71% 6.46% 4.93% n/a 13.10% 8.94%
Benchmark 31 Oct 2019 -0.25% -1.16% 5.57% 9.47% 9.43% n/a 15.39% 13.10%
Fund Standard Deviation 31 Oct 2019 0.98% 0.90% 14.22% 11.60% 12.34% n/a 0.84% 11.80%
Benchmark Deviation 31 Oct 2019 1.23% 1.11% 32.09% 11.32% 12.23% n/a 2.11% 11.64%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -0.58% -6.09% -2.32% 3.43% n/a n/a 11.68% 3.17%
Benchmark 31 Oct 2019 -2.27% -6.31% -3.52% 5.95% n/a n/a 10.81% 4.45%
Fund Standard Deviation 31 Oct 2019 1.09% 1.06% 16.81% 17.64% n/a n/a 1.02% 16.78%
Benchmark Deviation 31 Oct 2019 1.43% 1.90% 32.79% 17.70% n/a n/a 2.14% 18.08%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -0.70% -5.51% 5.93% 2.36% 0.33% 4.29% 4.93% 4.50%
Benchmark 31 Oct 2019 -0.55% -6.36% 4.01% 3.59% 3.05% 5.04% 4.60% 5.37%
Fund Standard Deviation 31 Oct 2019 0.77% 0.73% 11.87% 10.60% 11.78% 12.03% 0.70% 16.06%
Benchmark Deviation 31 Oct 2019 0.94% 1.47% 26.90% 10.78% 12.15% 13.61% 1.81% 18.32%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -2.60% -8.35% 10.15% 4.01% 2.28% 3.28% 9.42% 3.61%
Benchmark 31 Oct 2019 -3.14% -12.05% 3.67% 4.07% 4.47% 4.73% 3.83% 4.93%
Fund Standard Deviation 31 Oct 2019 0.89% 1.00% 17.34% 13.29% 14.24% 13.10% 0.98% 13.08%
Benchmark Deviation 31 Oct 2019 1.44% 2.29% 39.67% 15.36% 17.17% 16.62% 2.68% 16.61%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -1.15% 3.02% 9.27% 2.02% 2.50% 4.69% 9.24% 4.74%
Benchmark 31 Oct 2019 -1.28% -0.10% 4.14% 0.07% 3.86% 5.80% 4.99% 6.11%
Fund Standard Deviation 31 Oct 2019 0.26% 0.27% 4.30% 6.18% 7.00% 7.00% 0.27% 9.65%
Benchmark Deviation 31 Oct 2019 0.37% 0.44% 14.91% 5.22% 5.32% 5.56% 1.02% 7.66%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 1.27% 1.96% 3.32% 3.18% 4.37% n/a 6.86% 4.39%
Benchmark 31 Oct 2019 -1.16% -3.73% -4.60% -0.13% 0.43% n/a -1.37% 0.48%
Fund Standard Deviation 31 Oct 2019 0.20% 0.20% 3.55% 2.96% 3.67% n/a 0.20% 3.67%
Benchmark Deviation 31 Oct 2019 0.47% 0.84% 13.46% 5.76% 7.69% n/a 0.92% 7.69%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 0.45% -2.64% 4.31% 5.81% 1.78% 3.28% 15.03% -0.94%
Benchmark 31 Oct 2019 1.54% -2.84% 1.56% 4.31% 2.58% 4.49% 9.79% 1.56%
Fund Standard Deviation 31 Oct 2019 0.86% 0.74% 12.76% 10.81% 11.56% 13.53% 0.74% 18.02%
Benchmark Deviation 31 Oct 2019 1.05% 1.29% 25.84% 10.89% 11.64% 14.50% 1.73% 17.11%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -2.35% -6.93% 5.69% -1.51% -0.54% 2.59% 3.56% 2.39%
Benchmark 31 Oct 2019 -0.76% -6.81% 2.27% 2.57% 1.77% 3.08% 2.98% 1.83%
Fund Standard Deviation 31 Oct 2019 0.77% 0.76% 13.34% 11.62% 12.71% 13.27% 0.75% 16.97%
Benchmark Deviation 31 Oct 2019 0.90% 1.43% 25.66% 11.10% 12.74% 14.06% 1.72% 18.64%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 2.39% -2.21% 7.76% 1.50% 3.11% n/a -1.21% 5.64%
Benchmark 31 Oct 2019 2.47% -6.52% 6.97% 3.00% 2.36% n/a -0.89% 3.41%
Fund Standard Deviation 31 Oct 2019 1.11% 0.99% 14.53% 15.53% 16.08% n/a 0.89% 16.45%
Benchmark Deviation 31 Oct 2019 1.20% 1.15% 20.82% 16.00% 16.41% n/a 1.35% 18.96%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 6.03% 2.43% 1.08% -3.45% 2.32% n/a 9.38% 3.48%
Benchmark 31 Oct 2019 5.67% 1.44% -0.41% 2.94% 6.29% n/a 8.62% 6.45%
Fund Standard Deviation 31 Oct 2019 0.64% 0.73% 13.72% 11.27% 12.14% n/a 0.80% 11.74%
Benchmark Deviation 31 Oct 2019 0.63% 0.80% 16.68% 9.09% 10.86% n/a 0.97% 10.89%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -1.30% -4.85% 0.54% 1.49% 0.10% 3.64% 6.63% 1.52%
Benchmark 31 Oct 2019 0.82% -1.84% 3.23% 7.06% 6.57% 8.96% 13.16% 4.67%
Fund Standard Deviation 31 Oct 2019 0.78% 0.69% 10.95% 9.74% 10.57% 11.32% 0.66% 14.34%
Benchmark Deviation 31 Oct 2019 0.92% 0.91% 25.36% 10.26% 10.92% 11.74% 1.68% 13.92%

Type: 6 - Long Term Equity Fund

 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -8.43% -5.35% -5.95% 3.08% 0.14% 11.50% 1.14% 10.76%
Benchmark 31 Oct 2019 -5.59% -2.96% -1.04% 5.50% 3.41% 12.72% 5.40% 10.63%
Fund Standard Deviation 31 Oct 2019 0.69% 0.62% 9.36% 10.13% 9.64% 13.28% 0.55% 16.17%
Benchmark Deviation 31 Oct 2019 0.69% 0.61% 9.51% 10.68% 11.18% 14.41% 0.56% 18.59%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -5.45% -2.99% -3.47% n/a n/a n/a 1.46% 1.76%
Benchmark 31 Oct 2019 -3.63% -1.49% 0.36% n/a n/a n/a 4.62% 5.11%
Fund Standard Deviation 31 Oct 2019 0.44% 0.40% 6.03% n/a n/a n/a 0.36% 5.75%
Benchmark Deviation 31 Oct 2019 0.48% 0.45% 6.95% n/a n/a n/a 0.42% 6.60%

Type: 7 - Retirement Mutual Fund

 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -0.74% -5.52% 5.96% 2.34% 0.34% n/a 5.00% 3.64%
Benchmark 31 Oct 2019 -0.55% -6.36% 4.01% 3.59% 3.05% n/a 4.60% 6.46%
Fund Standard Deviation 31 Oct 2019 0.76% 0.72% 11.79% 10.56% 11.72% n/a 0.70% 10.97%
Benchmark Deviation 31 Oct 2019 0.94% 1.47% 26.90% 10.78% 12.15% n/a 1.81% 11.68%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 -8.33% -5.11% -5.95% 2.57% -0.34% 11.50% 1.31% 13.69%
Benchmark 31 Oct 2019 -5.59% -2.96% -1.04% 5.50% 3.41% 12.72% 5.40% 13.72%
Fund Standard Deviation 31 Oct 2019 0.67% 0.60% 9.15% 9.98% 9.41% 12.91% 0.54% 15.94%
Benchmark Deviation 31 Oct 2019 0.69% 0.61% 9.51% 10.68% 11.18% 14.41% 0.56% 19.29%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 0.30% 0.58% 1.03% 0.81% 0.84% 1.23% 0.90% 1.36%
Benchmark 31 Oct 2019 0.44% 0.88% 1.69% 0.85% 2.05% 2.76% 1.42% 2.80%
Fund Standard Deviation 31 Oct 2019 0.01% 0.01% 0.09% 0.10% 0.09% 0.22% 0.01% 1.05%
Benchmark Deviation 31 Oct 2019 0.02% 0.13% 3.07% 0.80% 1.42% 1.59% 0.21% 2.59%

Type: 8 - Mutual Fund for Provident Fund

 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a 0.23%
Benchmark 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a 0.29%
Fund Standard Deviation 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a 0.02%
Benchmark Deviation 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a 0.02%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a -0.54%
Benchmark 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a -0.04%
Fund Standard Deviation 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a 0.19%
Benchmark Deviation 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a 0.02%
 Effective Date3 Months6 Months12 Months3 Years5 Years10 YearsYear to DateSince Inception
Return 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a 0.22%
Benchmark 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a 0.29%
Fund Standard Deviation 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a 0.00%
Benchmark Deviation 31 Oct 2019 n/a n/a n/a n/a n/a n/a n/a 0.02%

1. Equity Fund

Aberdeen Standard Thai Equity Dividend Fund

Benchmark: SET Total Return Index (SET TRI)

Remarks:: Prior to 1 January 2017, the official benchmark was the SET TRI Index and prior to 1 May 2018 the benchmark was 80% SET TRI, 9% Total Return of ThaiBMA Government Bond Index, 9% Total Return of ThaiBMA Short-term Government Bond Index and 2% Total Return of ThaiBMA Corporate Bond Index (BBB up).


2. Mixed Fund

Aberdeen Standard Flexible Capital Fund

Benchmark (AIMC Benchmark): 65% SET TRI, 15.75% Thai BMA Government Bond Index (Total Return Index), 15.75% Thai BMA Short-term Government Bond (Total Return Index) and 3.5% Thai BMA Corporate Bond BBB Up (Total Return Index)

Remark: Benchmark prior to 1 Jan 2017 (AIMC Benchmark) was 50% Thai SET TRI, 25% Thai BMA Government Bond Index (Total Return Index),25% 1 year fixed deposit rate of 1 million baht for individuals quoted by BBL, KBANK and SCB.

Aberdeen Standard Value Fund

Benchmark (AIMC Benchmark): 35% SET TRI, 29.25% Thai BMA Government Bond Index (Total Return Index) , 29.25% Thai BMA Short-term Government Bond (Total Return Index) , 6.5% Thai BMA Corporate Bond BBB Up (Total Return Index)

Remark: Benchmark prior to 1 Jan 2017 (AIMC Benchmark) was 50% Thai SET TRI 25% Thai BMA Government Bond Index (Total Return Index) 25% 1 year fixed deposit rate of 1 million baht for individuals quoted by BBL, KBANK and SCB.


3. Fixed Income Fund

Aberdeen Standard Income Creation Fund

Benchmark: 45% Thai BMA Government Bond 1-3 years (Total Return Index), 45% Thai BMA Short-term Government Bond (Total Return Index), 10% Thai BMA Corporate Bond BBB+ up 1-3 years (Total Return Index)


4. Money Market Fund

Aberdeen Standard Cash Creation Fund

Benchmark: Thai BMA Short-Term Government Bond Index (Total Return Index)

Remark: The benchmark prior to 1st Jan 2017 was Equally weighted 3M fixed deposit rate for 1 million Baht for individuals quoted by BBL, KBANK and SCB


5. FIF Fund

Aberdeen Standard Euro High Yield Bond Fund

Benchmark: BofA Merrill Lunch Euro High Yield Constrained

Aberdeen Standard World Opportunities Fund

Benchmark: MSCI World Free TR index

Aberdeen Standard European Growth Fund

Benchmark: FTSE World Europe TR index

Aberdeen Standard Emerging Opportunities Bond Fund

Benchmark: JPMorgan Emerging Markets Bond Index Global Diversified (JPM EMBI GD)

Aberdeen Standard Global Emerging Growth Fund

Benchmark: MSCI Emerging Markets TR index

Aberdeen Standard China Gateway Fund

Benchmark: MSCI Zhong Hua TR index

Aberdeen Standard American Growth Fund

Benchmark:S&P 500 TR index

Aberdeen Standard India Growth Fund

Benchmark: MSCI India TR index

Aberdeen Standard Asia Pacific Equity Fund

Benchmark: MSCI AC AP ex JAPAN TR index

Aberdeen Standard Japan Opportunities Fund

Benchmark: MSCI Japan TR
Remarks: Prior to 1 June 2018, the official benchmark was the Topix 1st Section TR index.

Aberdeen Standard American Growth – Smaller Companies Fund

Benchmark: Russell 2000 TR


6. Long Term Equity Fund

Aberdeen Standard Long Term Equity Fund 70/30

Benchmark: 70% SET TRI and 30% Thai BMA Government Bond 1-3 years (Total Return index)


7. Retirement Mutual Fund

Aberdeen Standard Asia Pacific Equity - Retirement Mutual Fund

Benchmark: MSCI AC AP ex JAPAN TR index

Aberdeen Standard Smart Income - Retirement Mutual Fund

Benchmark: Thai BMA Short-Term Government Bond Index

Remark: Benchmark prior to 1 Jan 2017 (AIMC Benchmark) was 50% Thai BMA Government Bond Index (Total Return Index) 50% 1 year fixed deposit rate of 1 million baht for individuals quoted by BBL, KBANK and SCB


The fund performance is prepared in accordance with AIMC standards.

Aberdeen Standard Thai Equity Dividend Fund, Aberdeen Standard Smart Income – Retirement Mutual Fund, Aberdeen Standard Flexible Capital Fund, Aberdeen Standard Value Fund and Aberdeen Standard Cash Creation Fund will not invest in instrument dominated in foreign currency.


8. Mutual Fund for Provident Fund

Aberdeen Standard Money Market Fund for Provident Fund

Benchmark: Thai BMA Short-term Government Bond (Total Return Index)


Aberdeen Standard Fixed Income Fund for Provident Fund

Benchmark: 45% Thai BMA MTM Government Bond 1-3 years (Total Return Index), 45% Thai BMA Short-term Government Bond (Total Return Index), 10% Thai BMA MTM Corporate Bond BBB+ up 1-3 years (Total Return Index)


Aberdeen Standard Mixed Fund for Provident Fund

Benchmark: 35% SET TRI, 29.25% Thai BMA MTM Government Bond Index (Total Return Index), 29.25% Thai BMA Short-term Government Bond (Total Return Index), 6.5% Thai BMA MTM Corporate Bond BBB up (Total Return Index)

Warning
Risk warning - Investment involves risk. The value of investments, and the income from them, can go down as well as up and an investor may get back less than the amount invested. Past performance is not a guide to future results.