. SEC Classification : ใชภ้ายใน (Internal) FORM 56-1 One Report (Attached to Notification No. Tor Jor. 55/2563) Applicable to the Financial Year Ending 31 December 2021 onwards Annual Registration
requirements to comply with the Liquidity Coverage Ratio (LCR) and the Net Stable Funding Ratio (NSFR) guidelines which require banks to hold sufficient liquid assets to improve the resilience of banks against
which the fund invested. Since the yield to maturity is in percentage per year, it can be used to compare the rates of return between fixed income funds with an investment policy to hold debt instruments
which the fund invested. Since the yield to maturity is in percentage per year, it can be used to compare the rates of return between fixed income funds with an investment policy to hold debt instruments
between fixed income funds with an investment policy to hold debt instruments until maturity and with similar investment characteristics. Name of the CIS Operator Tel.: X-XXXX-XXX www…………..com Address Name
between fixed income funds with an investment policy to hold debt instruments until maturity and with similar investment characteristics. ………. Asset Management Company Limited Tel.: X-XXXX-XXX www…………..com
remained in the doldrums during the second quarter of 2019. The inconclusive US-China trade negotiations, which showed no sign of ending, exacerbated the lackluster global trade and investment environment
% 107,579 18.3% 71,982 12.1% 39.9% 109.1% Between one and five years 312,709 52.2% 354,140 60.1% 375,910 63.4% (11.7)% (16.8)% Over five years 22,375 3.7% 21,524 3.6% 24,597 4.2% 4.0% (9.0)% No maturity
million or 72% resulted from higher demand from customers at Rayong Central Utility Plants due to no maintenance shutdown, together with the higher Ft rate, and the COD of IRPC-CP for both phases in Q4/2017
the Independent Financial Advisor’s Opinion is the definitive and official document and shall prevail in all aspects in the event of any inconsistency with this English Translation. Attachment no. 16