; (3) Thai government securities as follows: (a) treasury bills; (b) Government bonds; (c) Bank of Thailand bills and bonds; (d) bonds, bills of exchange, promisory notes, or debentures under which the
government securities as follows: (a) treasury bills; (b) Government bonds; 3 (c) Bank of Thailand bills and bonds; (d) bonds, bills of exchange, promisory notes, or debentures under which the Ministry of
/> (4) ห้ามลงทุนในตราสารที่มีลักษณะของสัญญาซื้อขายล่วงหน้าแฝง (“structured notes”) (5) จำกัดการลงทุนที่ทำให้กอง MMF มีฐานะความเสี่ยงเกี่ยวข้องกับการลงทุนในต่างประเทศ โดยกำหนด
in notes to financial statements, item 20.3) After included the above expenses, net profit in this quarter was down to Baht 843 million, 36.6% down from Baht 1,329 million in the same period last year
loss from investments in JV for the fourth quarter amounted to THB 4.0mn, following the divestment of PA 38. The share of loss was mainly due to interest expenses of promissory notes issued by PA 38 to
Specific Characteristics ______________________ Division 1 Mutual Fund Investing in Derivatives or Structured Notes _________________________ Clause 16 The provisions hereunder shall apply to the following
. which all interest will be paid by July 19, 2019. In addition, the Company has invested in 5 transactions of short-term promissory notes (P/N) with the majority of 60 days or call on demand which the 2
short-term structured notes in accordance with the Notification of the Capital Market Supervisory Board concerning Application and Approval for Offer for Sale of Structured Notes shall be filed in
............................................................................... (..............................................................................) แบบลงนามรับทราบความเสี่ยง ข้าพเจ้าได้รับทราบและมีความเข้าใจเกี่ยวกับลักษณะ ความเสี่ยง และผลตอบแทนที่เกี่ยวข้องกับหุ้นกู้ที่มี อนุพันธ์แฝง (Structured Notes) เป็นอย่างดีแล้วว่า 1. Structured Notes เป็น
2018 were Baht 159 million, an increase of 13% from the previous year, mainly due to an increase in interest paid on bonds, structure notes and bills of exchange issued by the Company and an increase in