offering price of THB 0.1961 per share. The Company has fixed the date to determine the names of shareholders entitled to subscribe for the newly issued ordinary shares pro rata to their shareholdings
at the offering price of THB 0.19613 per share. The Company has fixed the date to determine the names of shareholders entitled to subscribe for the newly issued ordinary shares pro rata to their
determine other details in relation to such allocation of the newly issued ordinary shares, for example: (1) To determine conditions and other details in connection with the allocation of the newly issued
Directors and/or Chief Executive Officer and/or a person assigned by the Board of Directors and/or Chief Executive Officer to be empowered to consider and determine other details in relation to such
/2017 will be the first full quarter that BIC2 will realize the revenue from selling electricity and steam which GPSC will recognize the gain according to the proportion of the company’s ownership, 25
dividend income from RPCL for Baht 150 million and the company also gained income from the contractor of IRPC-CP Phase 1 for Baht 66 million related to the percentage of ownership in IRPC. Also, when
Q3/2017. The factors were the compensation of Baht 130 million (51% of ownership which is equivalent to Baht 66 million) from the contractor of IRPC-CP Phase 1 in Q3/2017 and the decline in dividend
แบบแสดงรายการขอมูลการเสนอขายตราสารหน้ี (รายครั้ง) (แบบ 69-DEBT-PO-GOV.AGENCY) บริษัท........... (ช่ือไทย/อังกฤษของผูเสนอขายตราสารหน้ี) ............. เสนอขาย ......................................................................................................................... ......................................................................................................................... ....................................................................................................
consider and determine the scope of investment of mutual fund, private fund or derivatives investment management. “ investment management assistant ” means a person who performs the duty of assisting
appointed or assigned by a fund management company to consider and determine the scope of investment of mutual fund, private fund or derivatives investment management; “ investment management assistant