service of brokerage, dealing or underwriting of investment units such as a fund fact sheet. “Management company” means any mutual fund management company or private fund management company; “Mutual fund
company or private fund management company; (5) “Mutual fund management company” means any securities company licensed to undertake securities business in the category of mutual fund management; (6
underwriting of investment units such as a fund fact sheet; (2) “Fund” means any mutual fund or private fund; (3) “Securities company” means: (a) Management company; (b) Securities company performing the duties
company or private fund management company; (5) “Mutual fund management company” means any securities company licensed to undertake securities business in the category of mutual fund management; (6
. Registered name was ALP FPI PARTS PRIVATE LIMITED. and date of establishment on 25 January 2016 that the Company paid 75% of its share subscription to this joint venture on 4 April 2016. On 3 September 2016
group of persons who authorized a management company to manage a private fund; “Liquid asset ” means assets as follow: (a) Cash or deposit money; (b) Certificate of deposit or promissory notes https
Translation or a group of persons who authorized a management company to manage a private fund; “Liquid asset ” means assets as follow: (a) Cash or deposit money; (b) Certificate of deposit or promissory notes
positions, who are responsible for the asset custody function https://publish.sec.or.th/nrs/2095pe.doc Translation or a group of persons who authorized a management company to manage a private fund; “Liquid
positions, who are responsible for the asset custody function https://publish.sec.or.th/nrs/2095pe.doc Translation or a group of persons who authorized a management company to manage a private fund; “Liquid
/2562 5. ข้อมูลเกี่ยวกับผู้มีหน้าที่รายงาน ชื่อ NORTH HAVEN THAI PRIVATE EQUITY TITAN COMPANY (HONG KONG) LIMITED 6. บุคคลที่ได้รับมอบหมายให้ติดต่อกับ ก.ล.ต.(ถ้ามี) นาย ชินวัจน์ กัลยาณมิตร