the Company will not issue securities for the payment in relation to the Transaction. Appendix 1 7 Value of disposal transaction during 6 months prior to the Transaction pursuant to the Comparison of
purchase specified in the share purchase agreement for NML shares to Baht 50,000,000 for NML and NML agrees to release all obligations owed by the Company to NML as appearing on the Company’s financial
related to the providing of financial support to Bangkok Business Broadcasting Company Limited; and (3) Release of Share Pledge Agreement in the shares that the Seller pledged with Kasikornbank Public
UE by (a) issuing 70,064,516,130 newly issued preferred shares, with a par value of Baht 1 per share, at an offering price of Baht 0.031 per share, and issue 35,032,258,065 units of the warrants to
transaction or material undertaking; (d) having withdrawn an application for approval of an offer for sale of newly issued securities without giving any clarification to the SEC Office regarding any matter
remain the same). In this regard, the Company shall notify if there is any development on this matter. Please be informed accordingly Yours faithfully Mr.Thepchai Sae Yong Chief Executive Officer F 24-1
expenses from the Board of Directors and/or the Company no matter what the case due to the Company cannot issue and offer its new ordinary shares to VAVA unless deposits are demanded without interest. 8
Establishment and Management of Funds dated 1 June 2004, the Office of the Securities and Exchange Commission hereby issue the following regulation: Clause 1. This Notification shall only apply to the following
ิ ั ู ั ู ั ั ู ื ู ื ื ู ื ู ุ ุ ิ ู ู ู ั ู ็ ู ํ ื่ ํ ื่ ื่ ั ิ ุ ั ื ื่ ู ื ิ ุ ิ ุ ํ ํ ั ื่ รหัสบรษทจัดการ วันที่สิ้นเดือน ประเภท รายงาน (เฉพาะขอมลบรรทัดแรก) (1) (2) (3) (4) (5) (6) (7) (8) (9) (10) (11) (12) (13) รหัสประเภทหลักทรพย (Issue Type Code) ชื่อผออกหลักทรพย (Issuer Name) ชื่อยอหลัก
Management of Funds dated 1 June 2004, the Office of the Securities and Exchange Commission hereby issue the following regulation: Clause 1. This Notification shall only apply to the following funds which have