G = 5,559 D = 155,559 H =1,555,559 05/05/2565 23/05/2565 20/06/2565 Property / Infrastructure Fund ( 0 record(s) found) Asset Management Company Name Supervisor Company Name Fund Name Fund Abbr. Name
7.75 (12.4 8.10 13.6 01 million in f Baht 116.39 mparison with on or 8.66%. lion Baht , ges % 05 45.61 6) (56.33) 88 35.59 33 53.74 23 65.70 55 56.40 97 48.28 36 32.63 94 10.80 42) (160.26 69 8.66 n 9 h
ดิจิทัลเพื่อการลงทุน ICO G = 5,559 D = 155,559 H =1,555,559 Property / Infrastructure Fund ( 0 record(s) found) Asset Management Company Name Supervisor Company Name Fund Name Fund Abbr. Name Unit Par
calculated fro e Company h the date on w V, a subsidia s Company L assets for stu 73 percent. highest size n which is lo ication on the account of a ted company, Stock Exchan tion and Othe Around the W t is
erning the Co Around the on business of recedent rela ve Committe g director to h d ordinary sh into the tran together wit not limited s for permis es and Excha elevant author on; and achieve all a otal
erning the Co Around the on business of recedent rela ve Committe g director to h d ordinary sh into the tran together wit not limited s for permis es and Excha elevant author on; and achieve all a otal
ดิจิทัลเพื่อการลงทุน ICO G = 5,559 D = 155,559 H =1,555,559 Property / Infrastructure Fund ( 0 record(s) found) Asset Management Company Name Supervisor Company Name Fund Name Fund Abbr. Name Unit Par
HIAN SECURITIES (THAILAND) PLC. 5 /FE:( %&/B%I(/ (*+,%-.)-/) '01ก34 (5617) 33,074.08 6.015 CREDIT SUISSE SECURITIES (THAILAND) LIMITED 4 %&+4AJ H;AH (*+,%-.)-/) '01ก34 34,156.69 6.443 DBS VICKERS
!"#$ : SCBASF1YE8 +,--! #$ก- ก 1YE8 !"#$ SCB Foreign Fixed Income Fund 1YE8 Not for Retail Investors (SCBASF1YE8) D"#$ E!F,-$G- -$ 1 H$ก$กIก+-G"#กH$ -ก JF ++ก +II+$K"$กKก$+ก$- "#$I#L $IM- กN ก ก
!"#$ : SCBASF6MS1 *+,,! #$ก, ก 6MS1 !"#$ SCB Foreign Fixed Income Fund 6MS1 Not for Retail Investors (SCBASF6MS1) C"#$ D!E+,$F, ,$ 6 + G$ก$กHก*,F"#กG$ ,ก IE **ก *HH*$J"$กJก$*ก$, "#$H#K $HL, กM ก ก