Factsheet
As of 18 Apr 2025
TDEX

THAIDEX SET50 EXCHANGE TRADED FUND

Last Update 19 Apr 2025 03:04:56
7.15
+0.03 (+0.42%)
SET
CG Report : -
Price Performance (Adjusted Price)
Period 1 Month 3 Month 6 Month 1 Year YTD
TDEX -0.69% -17.34% -23.77% -11.95% -20.02%
Benchmark -1.25% -15.99% -22.94% -11.88% -18.82%
*SET50 INDEX
Dividend
Operation Period Dividend/Share Unit Payment Date Type
- 0.3 Baht 17 ก.พ. 2568 Cash Dividend
- 0.2 Baht 09 ก.พ. 2567 Cash Dividend
01 Jan 2022 - 31 Dec 2022 0.3 Baht 21 ก.พ. 2566 Cash Dividend
01 Jan 2021 - 31 Dec 2021 0.3 Baht 15 ก.พ. 2565 Cash Dividend
Statistics
Rate of Return
Dividend Policy

Not less than 25% of net income after deduction of all specified reserves (with additional conditions)

Company Profile

THAIDEX SET50 EXCHANGE TRADED FUND
SET
ETFs
06 Sep 2007
SET50
5.68
1,000,000
1,760,563,380
Local: THSE50070002
0.40%
KGI SECURITIES (THAILAND) PUBLIC COMPANY LIMITED, MAYBANK SECURITIES (THAILAND) PUBLIC COMPANY LIMITED, KASIKORN SECURITIES PUBLIC COMPANY LIMITED, ASIA PLUS SECURITIES COMPANY LIMITED, Phillip Securities (Thailand) Public Company Limited
KGI SECURITIES (THAILAND) PUBLIC COMPANY LIMITED, ASIA PLUS SECURITIES COMPANY LIMITED, Phillip Securities Pte Ltd

Issuer Profile

ONE ASSET MANAGEMENT LIMITED
0-2659-8888
0-2659-8860-1
989 Siam Piwat Tower, 9th, 24 th Floor, Rama I Road, Pathumwan Bangkok 10330

Investment Policy

ThaiDex SET50 Exchange Traded Fund will use passive management strategy by investing in equity, on average, at least 65% of its NAV in any accounting period. The fund will invest mainly in securities which are constituents of the Benchmark Index (SET50 Index) including securities during transition of being added to or removed from the Benchmark Index. The rest will be invested in debt instruments, money market instruments or money deposit to pay for expense, settle the price of securities, wait for investment, or hold for liquidity of the fund and the fund may invest in derivatives with an objective to replicate the return of the Benchmark Index (SET50 Index) by trying to maintain the tracking error between the return of the fund and the Benchmark Index at not more than 1.0% per year. The Management Company and the mutual fund supervisor are not liable if the tracking error between the return of the fund and the Benchmark Index at more than 1.0% per year.

Shareholders
As of 04 Feb 2025
Rank Shareholders # Shares % Shares
1 บริษัท เมืองไทยประกันชีวิต จำกัด (มหาชน) 160,880,100 38.21%
2 ธนาคาร SAVINGS BANK 85,946,600 20.41%
3 กองทุนสำรองเลี้ยงชีพ วรรณเอเอ็มมาสเตอร์ฟันด์ ซึ่งจดทะเบียนแล้ว (ไทยเด็กซ์) 18,300,000 4.35%
4 MR. PABLO - DE ABADAL COULET 7,427,800 1.76%
5 ตลาดหลักทรัพย์แห่งประเทศไทย (ฟรีลี่ เอสเอเอ) 6,250,000 1.48%
6 บริษัทหลักทรัพย์ เคจีไอ (ประเทศไทย) จำกัด (มหาชน) 4,374,800 1.04%
7 บริษัท BY PHILLIP SECURITIES (THAILAND) PCL. 4,188,882 0.99%
8 นาย คมกาจ ประกอบผล 3,543,700 0.84%
9 บริษัทหลักทรัพย์ เอเซีย พลัส จำกัด 3,012,800 0.72%
10 มหาวิทยาลัยมหิดล 2,973,800 0.71%
Auditor
F/S Year Ended 31 Dec

Financial Data

Statement of Financial Position
Unit: M.Baht
Y/E 2024 31 ธ.ค. 2567
Y/E 2023 31 ธ.ค. 2566
Y/E 2022 31 ธ.ค. 2565
Y/E 2021 31 ธ.ค. 2564
Accounting Type
Company
Company
Company
Company
Cash And Cash Equivalents
50.60
49.11
70.05
77.66
Investment
3,568.71
3,612.22
3,705.57
3,613.78
Trade And Other Receivables - Net
62.09
22.28
300.83
196.66
Total Assets
3,750.49
3,732.93
4,172.99
3,904.40
Trade And Other Payables
89.38
42.88
349.14
238.05
Long-Term Debts
-
-
-
-
Deposit Recieved
-
-
-
-
Total Liabilities
160.27
93.93
447.48
256.05
Issued and Fully Paid-up Share Capital
2,283.20
2,402.47
2,124.17
2,112.81
Retained Earnings (Deficit)
778.45
613.04
1,133.13
1,067.98
Net Assets
3,590.22
3,639.00
3,725.51
3,648.34
Net Asset Value per Unit (Unit:Baht)
8.93
8.60
9.96
9.81
Statement of Comprehensive Income
Unit: M.Baht
Y/E 2024 31 ธ.ค. 2567
Y/E 2023 31 ธ.ค. 2566
Y/E 2022 31 ธ.ค. 2565
Y/E 2021 31 ธ.ค. 2564
Accounting Type
Company
Company
Company
Company
Income From Investment
119.16
94.27
96.63
94.10
Other Income
-
0.00
-
-
Total Revenues
119.16
94.27
96.63
94.10
Management Fee
17.27
17.27
17.19
16.92
Trustee Fee
0.98
0.98
0.97
0.96
Property Management Fee
-
-
-
-
SG&A
-
-
-
-
Cost of Rental and Service
-
-
-
-
Total Expenses
20.84
20.17
20.74
20.05
Net Investment Income
98.32
74.10
75.89
74.05
Statement of Cash Flow
Unit: M.Baht
Result empty

No information found.

Remark
  • Calculated from adjusted price
  • Presented and calculated from the consolidated statement and displayed as cumulative quarterly statement by fiscal year (Company statement will be presented and calculated incase consolidated statement is not available.)
  • The information is quarterly updated within 7 business days after the new financial statement is submitted
  • Information on the financial statements is presented according to the information that the listed companies submit on that period. The investors should study additional information from the companies' financial statements since some companies may restate the comparing financial statements on the latest financial statements.
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