) The difference of rates revenue (%) (20.79) (100.00) (21.00) (40.00) (21.01) Sales cost variance (million Baht) (349.52) (10.35) (359.87) 0.00 (359.87) The rate of sales cost variance as (%) (20.99
Other income Total revenues Segment revenue variance (million baht) 367.59 (4.90) 362.69 (0.08) 362.61 The difference of rates revenue (%) 35.46 (100.00) 34.82 (5.41) 34.76 Sales cost variance (million
variance (million baht) 484.09 0.34 484.43 The difference of rates revenue (%) 46.99 32.08 46.97 Sales cost variance (million Baht) 460.35 0.00 460.35 The rate of sales cost variance as (%) 48.55 0.00 48.55
Shield Account, Saving Deposit Account, Non-Fixed Deposit Account, Current Account, Fixed Deposits Account and Tax-Free deposit Account etc. 2. Loan Services The bank has divided the customers as the group
Shield Account, Saving Deposit Account, Non-Fixed Deposit Account, Current Account, Fixed Deposits Account and Tax-Free deposit Account etc. 2. Loan Services The bank has divided the customers as the group
difference between an incorrect investment unit price and the correct one in lieu of an increase or decrease in the number of investment units; and “investment unit price” means an offering or redemption price
8.7 Time deposits 57,234.4 60,726.3 (3,491.9) (5.8) Fixed deposits receipt 30,397.2 30,305.1 92.1 0.3 Total deposits 185,994.3 182,735.0 3,259.3 1.8 Capital Adequacy Ratio and BIS Ratio As of 31 March
2024-08-09 2023 7 ตราสารหนี้ Fixed-income funds 34611710220 N 2024-08-09 2023 7 ตราสารหนี้ Fixed-income funds 1507923992 Y 2024-08-09 2023 7 ผสม Mixed funds 728707305 N 2024-08-09 2023 7 ผสม Mixed funds
2024-08-09 2023 7 ตราสารหนี้ Fixed-income funds 34611710220 N 2024-08-09 2023 7 ตราสารหนี้ Fixed-income funds 1507923992 Y 2024-08-09 2023 7 ผสม Mixed funds 728707305 N 2024-08-09 2023 7 ผสม Mixed funds
จัดการกองทุน กรุงศรี จำกัด KRUNGSRI ASSET MANAGEMENT COMPANY LIMITED 2024-08-09 2024 4 ตราสารหนี้ Fixed-income funds กสิกรไทย 5 36270795614 บริษัทหลักทรัพย์จัดการกองทุน กสิกรไทย https