contains subject matters for consideration as follows: Agenda Item 1: (1) Extension of the maturity date for the bond redemption for another year; (2) Partial repayment of the bond principal by
: (1) extending the maturity period for bond redemption for one year and six months, to be due on 16 November 2026; (2) structuring the principal repayment into three installments: the first
being considered as an event of default; 2. Partial repayment of the principal of the bond; 3. Increase in the coupon rate of the bond; 4. Request for a waiver of default of the principal and interest
Disclosure) system that according to the Debenture No. 2 amount of 319.50 million baht which would be due on 2 August 2019, PPPM would repay the principal and interest on 7 August 2019. However, PPPM published
6.74 million which has decreased by THB 0.17 million or 2.53% from the 1st quarter of 2014 was THB 6.91 million. 4. Sea Freight Carrier Business Revenues from Sea Freight Services, operated by the
ทางบกจึงมีผลท าให้ รายได้จากการบริการจัดการโลจิสติกส์เพิ่มขึ้นจากเดิม หนา้ 3 จาก 5 Sea Freight, 610.64, 33% Air Freight, 854.74, 47% Logistics, 366.73, 20% Sea Freight, 635.03, 46% Air Freight, 465.59
0.98 7,632 6,869 95.85 Edible Oil 7,471 13,281 1.62 - - - 7,471 13,281 100.00 Total Refining 23,066 27,316 3.33 7,963 7,166 0.98 15,103 20,150 281.20 3. Sea Freight Carrier - - - - - - - - - 4. Other
0.98 7,632 6,869 95.85 Edible Oil 7,471 13,281 1.62 - - - 7,471 13,281 100.00 Total Refining 23,066 27,316 3.33 7,963 7,166 0.98 15,103 20,150 281.20 3. Sea Freight Carrier - - - - - - - - - 4. Other
เนอร์จี จ ำกดั (มหำชน) AI Energy Public Company Limited ทะเบียนเลขที ่ 0107556000311 1.3 Sea Freight Service Revenues from Sea Freight Services operated by the subsidiary (AIL), in the 2nd quarter of
/2022 30/08/2022 PRINCIPAL ASSET MANAGEMENT COMPANY LIMITED Mutual Fund Principal China Trigger 6M1 Fund PRINCIPAL CHTG6M1 18/08/2022 23/08/2022 31/08/2022 SCB ASSET MANAGEMENT COMPANY LIMITED Mutual