asset value (NAV) by adjusting the number of investment units to reflect the change in investment unit price- Allowing business operators to be exempted from conducting investors’ suitability tests if
Complex Type 2 Investment Consultant
Complex Type 2 Investment Consultant
Complex Type 2 Investment Consultant
Type of securities : Real Estate Investment Trust (REIT) | Effective Date : 15/02/2023 | Close Selling Date : 20/03/2023
Type of securities : Real Estate Investment Trust (REIT) | Effective Date : 31/07/2020 | Close Selling Date : 11/08/2020
KASIKORN ASSET MANAGEMENT COMPANY LIMITED|Feeder Fund ,Super Savings Fund : SSF | Offering Date : 30/04/2019 - 14/05/2019
Microsoft Word - Clarification of Change 20%_Q4'18 Clarification on Percentage of Change More Than 20% The consolidated financial statements of Nation International Edutainment Public Company Limited
Microsoft Word - Clarification of Change 20%_Q1'19 Clarification on Percentage of Change More Than 20% The consolidated financial statements of Nation International Edutainment Public Company Limited
Microsoft Word - Clarification of Change 20%_Q3'18 Clarification on Percentage of Change More Than 20% The consolidated financial statements of Nation International Edutainment Public Company Limited