the difference between the rate of return of the mutual fund and the risk-free rate, in comparison with the mutual fund’s standard deviation. The Sharpe Ratio reflects the increase in the rate of return
mutual fund's marginal return compared with its investment risk, calculated from the difference between the rate of return of the mutual fund and the risk-free rate, in comparison with the mutual fund’s
mutual fund's marginal return compared with its investment risk, calculated from the difference between the rate of return of the mutual fund and the risk-free rate, in comparison with the mutual fund’s
FY22 following an improvement in EBITDA. Net cash outflow from investing was at Bt37,088mn for network investment and at Bt13,904mn for spectrum license. As a result, free cash flow for FY23 was at
tax) reported at Bt53,918mn, increasing 42% compare to 1H23 following a improvement in EBITDA. Net cash outflow from investing was at Bt16,848mn and at Bt5,189mn for spectrum license. As a result, free
result, free cash flow for 1H24 was at Bt27,945mn (OCF less CAPEX, spectrum license and lease liability). In summary, net cash decreased by Bt616mn resulting in an outstanding cash of Bt14,128mn at the end
investing was at Bt28,878mn and at Bt12,755mn for spectrum license. As a result, free cash flow for 9M24 was at Bt41,755mn (OCF less CAPEX, spectrum license and lease liability). In summary, net cash
ย้อนหลังของกองทุน ณ วันที่ (8.3) -- Format ไม่ตายตัว เป็น Free Text 23. ผลขาดทุนสูงสุดในช่วง 5 ปีและความผันผวนของผลการดำเนินงานย้อนหลัง 5 ปี GET : https://api.sec.or.th/FundFactsheet/fund/{proj_id
publishing and advertising business which is in line with the Company’s business is as follows: Investing in the television business in MNC Group, Indonesia, which operates one of the largest free- to-air TV
นท่ีจดทะเบียนในตลาดหลกัทรัพยตามระยะเวลาที่กําหนด มีมูลคาการซื้อขายสมํ่าเสมอ มีสดัสวนผูผูถือหุนรายยอย (free-float) ตามที่กําหนดและไมมีแนวโนมหรืออยู ระหวางถูกสั่งพัก หรือเพิกถอนการซื้อขาย แบบฟอร