newly issued shares in both cases constitute an issuance and offering of shares to specific investors (Private Placement) pursuant to the Notification of the Capital Market Supervisory Board No. TorChor
fund management, or derivatives investment management company; “fund” means mutual fund and private fund; “investor” means any person interested in investing in capital market products including
data, particularly those from outside the company. In addition, any forward looking statements are subject to change as market conditions and actual outcomes may differ from forecasts. BAM makes no
neither undertake any responsibility for its accuracy nor be held liable for any loss or damages arising from or related to its use. ---------------------- Notification of the Capital Market Supervisory
, Value Trade/Day Statistics YTD 31 Mar 2022 2021 30 Dec 2021 2020 30 Dec 2020 Listed share (M.) 149.93 149.93 149.93 Market Cap (MB.) 4,760.30 4,347.99 3,583.35 Price (B./share) 31.75 29.00 23.90
to the Buyer and the Seller has relationship to be connected people according to the announcement of the Capital Market Supervisory Board No.21/2551 regarding the criteria of making connected
business management of mutual fund, property fund, real estate investment trust, provident fund and private fund. Overview of Fund Management Business In the third quarter of 2019, total net asset value of
business management of mutual fund, property fund, real estate investment trust, provident fund and private fund. Overview of Fund Management Business In the third quarter of 2019, total net asset value of
asset value ต่อหน่วย 2.4 อนุพันธ์ และใบสำคัญแสดงสิทธิ ให้ใช้ราคา ตามลำดับ ดังต่อไปนี้ 2.4.1 ราคาที่กำหนดโดย market makers ตั้งแต่ 2 รายขึ้นไป โดยกรณี long position ให้ใช้ราคาเสนอซื้อปัจจุบันถัวเฉลี่ย
asset value ต่อหน่วย 2.4 อนุพันธ์ และใบสำคัญแสดงสิทธิ ให้ใช้ราคา ตามลำดับ ดังต่อไปนี้ 2.4.1 ราคาที่กำหนดโดย market makers ตั้งแต่ 2 รายขึ้นไป โดยกรณี long position ให้ใช้ราคาเสนอซื้อปัจจุบันถัวเฉลี่ย