with either of the following rules: (2.1) A fixed rate or a percentage rate of the NAV or net asset value of the mutual fund; (2.2) A performance based management fee rate. (3) Fees on each sales or
unitholders of each fund. (3) In requesting for resolution, the asset management company is required to : 3.1) Specify details of the new scheme and commitment; 3.2) Request a resolution of the unitholders
: เริ่มต้นอย่างไรในตลาดทุน” (วันที่ 22 มี.ค. 64) รายการ DCT Digital Future Talk เรื่อง “ปลดล็อก Crowdfunding ESOP และ Convertible Note เพื่อ Digital Startup” จัดโดยสภาดิจิทัลเพื่อเศรษฐกิจและสังคมแห่ง
: เริ่มต้นอย่างไรในตลาดทุน” (วันที่ 22 มี.ค. 64) รายการ DCT Digital Future Talk เรื่อง “ปลดล็อก Crowdfunding ESOP และ Convertible Note เพื่อ Digital Startup” จัดโดยสภาดิจิทัลเพื่อเศรษฐกิจและสังคมแห่ง
Preparation of financial reports of mutual fund Prescription of additional rules Calculation and announcement of net asset values (NAV) Procedures for incorrect pricing Sale and repurchase of investment units
Prescription of additional rules Calculation and announcement of net asset values (NAV) Procedures for incorrect pricing Sale and repurchase of investment units Preparation of mutual fund reports Scheme
the SEC Fund managers Mutual fund performance measurement Preparation of financial reports of mutual fund Prescription of additional rules Calculation and announcement of net asset values (NAV
Preparation of financial reports of mutual fund Prescription of additional rules Calculation and announcement of net asset values (NAV) Procedures for incorrect pricing Sale and repurchase of investment units
the SEC Fund managers Mutual fund performance measurement Preparation of financial reports of mutual fund Prescription of additional rules Calculation and announcement of net asset values (NAV
fund performance measurement Preparation of financial reports of mutual fund Prescription of additional rules Calculation and announcement of net asset values (NAV) Procedures for incorrect pricing Sale