shall indicate the characteristic of a trust; (b) name, address and telephone number of the originator, a settlor (if any) and asset trustee; (c) date of the establishment of trust for an issuance of
211.26 19.33 222.54 19.97 (11.28) (5.07) EBIT 149.40 13.67 149.59 13.42 (0.19) (0.13) NP 116.50 10.66 116.47 10.45 0.03 0.03 EPS (Baht per Share) * 0.12 - 0.11 - 0.01 9.09 Weighted Average Number of
) num(19,5) 3/4 Data Description (AMC03.TXT) Length รหัสสกุลเงิน char(1) 0 ตางประเทศ 1 บาท yield to maturity char(50) วันที่ออก char(2) เดือนที่ออก char(2) ปที่ออก (ป ค.ศ.) char(4) วันที่ครบกําหนด char
other information contained in such advertisement. In case of specified property fund referred to in (1)(b), the estimated return shall be presented in term of dividend yield; (4) in case of specified
referred to in (1)(b), the estimated return shall be presented in term of dividend yield; (4) in case of specified property fund referred to in (1)(b), the estimated return mentioned in (3) shall not be
information contained in such advertisement. In case of specified property fund referred to in (1)(b), the estimated return shall be presented in term of dividend yield; (4) in case of specified property fund
referred to in (1)(b), the estimated return shall be presented in term of dividend yield; (4) in case of specified property fund referred to in (1)(b), the estimated return mentioned in (3) shall not be
Period FX Hedging อัตราสวนหมุนเวียนการลงทุน Yield to Maturity 24.00% Industrials Asia-Pacific Rest of world (ROW) ขอมูลเชิงสถิติ 2.50 3.00% คาธรรมเนียมท่ีเรียกเก็บจากผูถือหนวย (% ของมูลคาซื้อขาย) คา
contained in such advertisement. In case of specified property fund referred to in (1)(b), the estimated return shall be presented in term of dividend yield; (4) in case of specified property fund referred to
than other information contained in such advertisement. In case of specified property fund referred to in (1)(b), the estimated return shall be presented in term of dividend yield; (4) in case of