sale of newly issued sukuk; (3) prescribes particulars in the trust instrument for issuance of sukuk. Clause2 This Notification contains provisions in the following matters: (1) application for obtaining
. Other derivatives liabilities 18. Provision 19. Other liabilities Total liabilities Shareholders’ equity 20. Share capital 20.1 Authorized share capital 20.2 Issued and paid-up share capital 21. Stock
Issued and paid-up share capital 21. Stock rights and warrants 22. Additional paid-in capital (discount on capital stock)) 23. Appraisal surplus 24. revaluation surplus (deficit) in investments) 25
capital 20.2 Issued and paid-up share capital 21. Stock rights and warrants 22. Additional paid-in capital (discount on capital stock)) 23. Appraisal surplus 24. revaluation surplus (deficit) in investments
can be changed Number of warrants issued : Not more than 296,585,260 units Offering price per unit : -0- baht (zero baht) Exercise ratio : 1 unit of warrant for 1 share (subject to change in accordance
/ Net profit after deduction of tax of the buying company 3. Total Value of Consideration = (Value of the acquired transaction / Net asset value of the buying company) x 100 4. Value of Securities issued
the acquired transaction / Total Asset of the buying company) x 100 4. Value of Securities issued by the Company as consideration for the assets acquired = No. of shares issued in consideration of the
similar law and it has not yet surpassed the three-year interval time after the date on which the court issued such order; or (4) having been considered by the financial regulatory authority or other
(e); (2) bonds having high-risk or complex characteristics including: (a) hybrid securities with debt repayment period longer than 270 days as from the date on which hybrid securities have been issued
including: (a) hybrid securities with debt repayment period longer than 270 days as from the date on which hybrid securities have been issued. In addition, such hybrid securities shall have one of the