) Increasing the interest rate from 5.25 percent per year to 6.25 percent per year, during the extended maturity period; (4) Adjusting the principal repayment schedule into two installments, with the first
interest rate from 7.25 percent per year to 7.50 percent per year, during the extended maturity period; (3) Adjusting the principal repayment schedule to four installments, with the first
from 7.25 percent per year to 7.50 percent per year, during the extended maturity period; (3) Adjusting the principal repayment schedule to four installments, with the first three installments
; - For bond series ECF262A: increase the interest rate to 7.70 percent per year from 7.60 percent per year. (3) Granting approval for modifying the interest payment schedule from
process has been delayed from the planned schedule, which may indicate potential impairment of assets related to the SPAC structure investments in the separate financial statements, such as investments in
three years or upon occurrence of a widespread adverse incident; (2) To adjust the submission schedule for the Risk Level Assessment (RLA) report and IT audit report to be within the same period (during
further cooperation. Schedule of the morning session includes panel discussions on bond market outlook, how to choose suitable fund raising activities for businesses, procedures for offer for sale bonds and
ความเห็น ดังนี้1.กรณีที่บริษัทมีฐานะสัญญาซื้อขายล่วงหน้า (“อนุพันธ์”) ที่นอกเหนือจากการ long option นั้น บริษัทจะต้องคำนวณค่าความเสี่ยงตามวิธี standardised approach2.ในการคำนวณค่า
, leading to more inclusive and equitable practices.”The workshop sought to create an enabling environment across capital market ecosystems on the business and human rights approach, and to strengthen the
SEC Secretary-General Ruenvadee Suwanmongkol said, “As I have taken a job as head of SEC since early May, I commit myself to work closely with SET on holistic approach in order to enhance