December 2018 thanks to strong support from our shareholders. In May 2018, BGRIM was also selected to be in the ESG100 list (Environmental, Social and Governance) by Thaipat Institute to reflect the company
amounting to THB 3,338 million, with total liabilities of THB 3,011 million and total equities of THB 9,457 million. In this regard, the company’s financial position remains strong with low debt-to-equity
. The interest coverage ratio in 9M19 slightly decreased to 6.59 times but increased from 6M19 by 2.50 times. The Company’s financial position remained strong with interest bearing debt to equity of 0.85
Brand”, having communicated to customer groups to become aware of the variety of “Diamond” brand products, which are strong and durable resulting in trustworthiness from the customers through every
. The interest coverage ratio in 9M19 slightly decreased to 6.59 times but increased from 6M19 by 2.50 times. The Company’s financial position remained strong with interest bearing debt to equity of 0.85
driven by the TFRS 16 – Lease implementation. Company’s financial position was still strong with the D/E ratio including and excluding TFRS 16 – Lease effect of 2.84 and 1.10 times, respectively which it
UNOFFICIAL TRANSLATION Readers should be aware that only the original Thai text has legal force and that this English translation is strictly for reference. Notification of the Office of the Securities and Exchange Commission No. Sor Nor. 87/2558 Re: Rules, Conditions, and Procedures for Management of Retail Funds, Mutual Funds for Accredited Investors, Mutual Funds for Institutional Funds, and Private Funds ______________________ By virtue of Clause 6, Clause 8, and Clause 9 of the Notification...
% รวม State Street Global Advisors Funds Management Inc. (SPDR) 0.00 54,791,470.26 0.00 52,971,150.27 16.10% SPDR S&P 500 ETF TRUST (SPY) XLEUS - Energy Select Sector SPDR Fund 839,917.12 74,421,880.26
% > 80% หมายเหตุ: ขอมลูขางตนเปนเพียงการประมาณการพอรตการลงทุน High Sector Concentration Risk ต่ํา สูง ≤ 20% 20-50% 50-80% > 80% หมายเหตุ: กองทุนปลายทางอาจมีการลงทุนกระจุกตัวใน Semiconductor , Energy
กกำรลงทุนกระจุกตัวในหมวดอุตสำหกรรมใดอุตสำหกรรมหน่ึง (High Sector Concentration Risk) การลงทนุกระจกุตวัในหมวดอตุสาหกรรมใดอตุสาหกรรมหนึง่มากกว่า 20% ของ NAV รวมกนั ต ่ำ สูง < 20% 20% – 50% 50% – 80% > 80