Baht 26.44 million from mutual fund and private fund managements fee from Solaris Asset Management Company Limited (Solaris) decreased. Gain and return on financial instruments decreased of Baht 22.50
and return on financial instruments decreased of Baht 22.50 million from gain from investment in securities decreased of Baht 21.79 million due to loss from investment in equity securities increased of
increased by Baht 256 million, driven by increase of profit during the period, partly offset by dividend payment. Key Financial Performance Q2 2018 Q3 2018 Q4 2018 Q1 2019 Q2 2019 Return on equity (ROE) 18.90
shareholders' equity as Part of the changes the proportion of subsidiary. Ratio Analysis Financial Statement year ended June 30, 2018 Return on Assets and Return on Equity in 6 months 2018 improved from 11% and
September 30, 2018 Return on Assets and Return on Equity in 9 months 2018 improved from 12.9% and 14.6% to 13.5% and 19.9% yoy. It was driven by the outstanding profit for the Company and its subsidiary. In
ordinary shares shall be Baht 7 per share, totaling 357,000,000 Baht, for offering to the specific persons under the Private Placement basis i.e. Mr. Jirasak in return for the ordinary shares of S-TREK which
. Conducting an consultancy service regarding the project management and development, fund raising, procurement and installation, construction, examination and operation to an individual, juristic person
persons under the Private Placement basis i.e. Mr. Jirasak in return for the ordinary shares of S-TREK which the Company shall invest in, the details of which is shown according to the Enclosure No.3. In
Supervisory Board concerning Rules of Management for Retail Funds, Non-retail Funds, Funds for Institutional Investors and Private Funds; “complex return mutual fund” means a mutual fund that offers return to
money and volume of transaction relating to the act, etc.; (3) the persons who have benefited from the act; (4) the nature of involvement of an individual in the act, such as being a principal, an