business sectors to (1) incorporate nature-related risks into their strategic planning and risk management, and (2) follow international standard disclosure guidelines. This also contributes to the
SHARE : SEC receives excellent score in the Corruption Risk Management Systems Assessment 2023 and higher score in the Integrity and Transparency Assessment 2024 Friday 2 August 2024 | No. 159 / 2024
markets business to submit trading order and not an employee of Jitta Wealth Asset Mannagement Co.,Ltd, there may be a risk that person who are not under the company know about the information and use it
to order or act resulting in Beyond’s failure to put in place sufficient and effective risk management system which violated Section 113 of the Securities and Exchange Act B.E. 2535 amended by the
่ยวข้องกับสภาพภูมิอากาศ (“climate risk”) ตามกรอบคำแนะนำของ Task Force on Climate- Related Financial Disclosures (“TCFD”) เพื ่อให้ผ ู ้ประกอบธุรกิจ สามารถนำปรับใช้ให้เหมาะสมกับโครงสร้าง ขนาด ความซับซ้อน
KASIKORNBANK FINANCIAL CONGLOMERATE according to the Basel III Accord B was 18.53 percent, with a Tier 1 capital ratio of 15.17 percent, remaining sufficient to cushion against risk in times of crisis, and
Statement year ended December 31, 2019 Both of return on assets and return on equity of 4Q19 improved yoy. driven by the sustainable profit and higher dividend payout ratio. From the financial risk
, taxes and depreciation For 4Q’18 and year 2018, Earnings before interest, taxes and depreciation ( “EBITDA”) increased by 11% and 12% yoy, respectively. The increase in EBITDA came from both improved
to 72% in 2Q18. The improved margin was not only attributed by the increase of fixed income from SW revenue and higher revenue per visit of non-SW category but also from the efficient cost control of
generally be defined as the systematic risk exposures of the portfolio (usually achieved through asset allocation), while alpha is the residual, or skill/luck-based, component associated with the various