(Newest) Date (Oldest) Notification of the Office of the Securities and Exchange Commission SorNor. 14/2552 Prospectus for Offer for Sale of Newly Issued Investment Units of Property Funds for Solving
) Date (Oldest) Notification of the Office of the Securities and Exchange Commission SorNor. 14/2552 Prospectus for Offer for Sale of Newly Issued Investment Units of Property Funds for Solving Financial
(Newest) Date (Oldest) Notification of the Office of the Securities and Exchange Commission SorNor. 14/2552 Prospectus for Offer for Sale of Newly Issued Investment Units of Property Funds for Solving
) Date (Oldest) Notification of the Office of the Securities and Exchange Commission SorNor. 14/2552 Prospectus for Offer for Sale of Newly Issued Investment Units of Property Funds for Solving Financial
) Date (Oldest) Notification of the Office of the Securities and Exchange Commission SorNor. 14/2552 Prospectus for Offer for Sale of Newly Issued Investment Units of Property Funds for Solving Financial
(Oldest) Notification of the Office of the Securities and Exchange Commission SorNor. 14/2552 Prospectus for Offer for Sale of Newly Issued Investment Units of Property Funds for Solving Financial
Bangkok, February 9, 2012 - The SEC has closely monitored the incident on December 30, 2011 where net asset value ("NAV") of domestic mutual funds investing in offshore ETF was irregularly high. The
funds and mutual funds which could contribute to appropriate unit price setting and market-driven offering. Aiming to promote establishment of property funds and retail investors? benefits, the draft
Company, wishes to raise funds through an increase of its registered capital and offer such newly issued ordinary shares to the public by an initial public offering (the “IPO”) and subsequently list its
by the total value of consideration equivalent is 14.57%, calculated by the net tangible assets method according to the consolidated financial statements of the Company as of September 30, 2018 and