responsibilities of high-level management Chapter 2 Availability of competent personnel Chapter 3 Fund management operation system 3.1 Accepting of purchase or redemption orders of investment units 3.2 Investment
internal audit and regulated by other competent regulators according to the notification of the SEC. The SEC Office has the power to waive the appointment of independent director temporary or permanently
a part of financial conglomerate which has share holding structure, examination of internal audit and regulated by other competent regulators according to the notification of the SEC. The SEC Office
part of financial conglomerate which has share holding structure, examination of internal audit and regulated by other competent regulators according to the notification of the SEC. The SEC Office has
aiding or abetting thereof; (b) an offence regarding documents or accounts such as falsifying documents, using or referring to falsified documents, informing the competent officer to record false
company who fails to perform his duties with responsibility, due care and loyalty.) Section 305 (Person who damages, destroys, conceals, any property or document which the competent officer has seized
company who fails to perform his duties with responsibility, due care and loyalty.) Section 305 (Person who damages, destroys, conceals, any property or document which the competent officer has seized
of d approve the Directors, to necessary for ch actions m meeting. In ssets in the y the Board o ementioned a the Compan nd the sale pr he Company i al of assets the Compan Act B.E. 253 of the Cap o
@&%3/8,O%, 9&) 2 12 6. :+=9%2%+ &) TSD 68%&') 1 .. 54 8.2 8%&',/?) ) %?,&)3*%?6=2 TSD ?)12 g+ &% (clearing deposit) %??)*3 =
ผันผวนของรำคำหลักทรัพย์ (market risk) 25% general large cap Mid/small sector ควำมเสี่ยงจำกกำรกระจุกตัวลงทนุในผู้ออกรำยใดรำยหนึ่ง (high issuer concentration risk) ≤10% 10-20% 20-50