urging knowledge dissemination concerning risk and investment in risky assets for higher return in preparation for retirement. Dr. Vorapol Socatiyanurak, SEC Secretary-General said that the first SEC
. The analysis should enable the determination of the level of risk of the instrument, expected return, portfolio construction, and the safety level of investment. Investment management shall also be
of the instrument, expected return, portfolio construction, and the safety level of investment. Investment management shall also be carried out in accordance with the policy, investment objective, and
immediately transfer the land ownership to the Company, therefore the Company decides to use the borrowed fund to pay for the Land at On-nut to decrease the risk of delayed payment and the change of no-return
from the change in defined benefit plan according to KBank’s employment policy which is not related to labor law, together with rising marketing expenses, our cost-to-income ratio stood at 45.02 percent
and the same period of last year included: 18 (Unit: Percent) Financial Ratio Q1-2019 Q4-2018 Change Q1-2018 Change Return on Assets (ROA)1) 1.27 0.91 0.36 1.46 (0.19) Return on Equity (ROE)1) 10.46
Ratio Q2-2018 Q1-2018 Change Q2-2017 Change Return on Assets (ROA)1) 1.45 1.46 (0.01) 1.26 0.19 Return on Equity (ROE)1) 12.10 12.14 (0.04) 10.78 1.32 Net Interest Margin (NIM)1) 3.39 3.37 0.02 3.43 (0.04
becoming insolvent as a prerequisite. After a debtor has defaulted on credit obligations, he/she may submit a request to the court for proceeding with reorganization. This change provides a greater
third quarter of 2019 compared to the previous quarter and the same period of last year included: 19 (Unit: Percent) Financial Ratio Q3-2019 Q2-2019 Change Q3-2018 Change Return on Assets (ROA)1) 1.23
this year, which was the weakest of Asia, prompting Thailand’s net return on investment after inflation to outperform regional peers. Finally, Thailand’s economic and financial stability was strengthened