SCB ASSET MANAGEMENT COMPANY LIMITED|Specific Fund | Offering Date : 20/07/2009 - 27/07/2009
SCB ASSET MANAGEMENT COMPANY LIMITED|Specific Fund | Offering Date : 20/07/2009 - 27/07/2009
Subscription period: No. of units offered for sale: Par value per unit: Type of offering: PO PP (II)* PP (HNW)* PP (II&HNW) Total offering value: Underlying: Sale/transfer restriction (if any): Specific
high net worth investors under Clause 21(3) that has been included an offer for sale of investors registered for a transfer restriction within no more than ten specific investors within any four- month
THANACHART FUND MANAGEMENT COMPANY LIMITED|Specific Fund
BBL ASSET MANAGEMENT COMPANY LIMITED|Specific Fund
KRUNGSRI ASSET MANAGEMENT COMPANY LIMITED|Specific Fund
KASIKORN ASSET MANAGEMENT COMPANY LIMITED|Specific Fund
ONE ASSET MANAGEMENT LIMITED|Specific Fund
SCB ASSET MANAGEMENT COMPANY LIMITED|Specific Fund