net asset values (NAV) Procedures for incorrect pricing Sale and repurchase of investment units Preparation of mutual fund reports Scheme amendment Increases in registered capital and scheme capital
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) Procedures for
accordingly: (1) to define business objectives and goals to create sustainable values for the business, (2) to achieve the goals through the mechanism of committee composition, oversight and development of
, and Yan (2021) use cutting-edge machine learning algorithms and earnings call transcripts to assess business cultural values. Earnings conference calls, as an external corporate communication channel
, Engagement, AIGCC Ms. Ally Chin, Sustainable Investing Associate, Fidelity International Ms. Corrine Png, Regional Head of Equities Research and Stewardship, AIA Group / AIA Investment Management Ms. Enci Wang
, Engagement, AIGCC Ms. Ally Chin, Sustainable Investing Associate, Fidelity International Ms. Corrine Png, Regional Head of Equities Research and Stewardship, AIA Group / AIA Investment Management Ms. Enci Wang
% due to the abovementioned operating loss. Project on hand as ended September 30, 2017 As ended September 30, 2017, the company and its subsidiaries had 7 projects on hand with their contract values of
Service Project 6 - 753.36 - 253.03 Total 6 753.36 253.03 As December 31, 2017, the company and its subsidiaries had 6 projects on hand with their contract values of totally Baht 753.36 million and backlog
with a total of contract values of Baht 968.80 million in which there was one new awarded project in this captioned year with its contract value of Baht 522.24 million and the backlog of Baht 597.41
Company Limited (SAFE) as the joint venture of the Company arranged the measurement of fair values of identifiable assets and liabilities at the acquisition date of three subsidiaries of such joint venture