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The Fund's policy is to invest in securities that are constituents of the SET50 Index, including securities that are pending inclusion or removal from the SET50 Index; these core holdings will account for an average of at least 80% of NAV during a financial year. Objective is to generate portfolio performance (before fees and expenses) that closely track the SET50 Index using a Passive Management Strategy. At any given time, the fund may not necessarily always hold the full 50 constituents.
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