://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0404&PYR=2549 Property Fund Prospectus - GOLDPF : Gold Property Fund (Lease Hold) KASIKORN ASSET MANAGEMENT COMPANY LIMITED| | Offering Date : 04/05/2007 - 04
://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0404&PYR=2549 Property Fund Prospectus - GOLDPF : Gold Property Fund (Lease Hold) KASIKORN ASSET MANAGEMENT COMPANY LIMITED| | Offering Date : 04/05/2007 - 04
://publish.sec.or.th/nrs/253pe.doc The Derivatives Act The Derivatives Act The Derivatives Act B.E. 2546 SECTION 3. In this Act: “goods” means securities, gold, crude oil, or any other property as specified in the
Property Fund Prospectus - GOLDPF : Gold Property Fund (Lease Hold) KASIKORN ASSET MANAGEMENT COMPANY LIMITED| | Offering Date : 04/05/2007 - 04/05/2007 http://market.sec.or.th/public/mrap/MRAPView.aspx
&PYR=2549 Property Fund Prospectus - GOLDPF : Gold Property Fund (Lease Hold) KASIKORN ASSET MANAGEMENT COMPANY LIMITED| | Offering Date : 04/05/2007 - 04/05/2007 http://market.sec.or.th/public/mrap
MANAGEMENT COMPANY LIMITED| | Offering Date : 22/11/2006 - 30/11/2006 http://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0404&PYR=2549 Property Fund Prospectus - GOLDPF : Gold Property Fund (Lease
://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0404&PYR=2549 Property Fund Prospectus - GOLDPF : Gold Property Fund (Lease Hold) KASIKORN ASSET MANAGEMENT COMPANY LIMITED| | Offering Date : 04/05/2007 - 04
://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0404&PYR=2549 Property Fund Prospectus - GOLDPF : Gold Property Fund (Lease Hold) KASIKORN ASSET MANAGEMENT COMPANY LIMITED| | Offering Date : 04/05/2007 - 04
: 22/11/2006 - 30/11/2006 http://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0404&PYR=2549 Property Fund Prospectus - GOLDPF : Gold Property Fund (Lease Hold) KASIKORN ASSET MANAGEMENT COMPANY
disposal of this assets transaction of the Company calculated based on the total value of consideration paid criteria, which gives the highest value, is equivalent to 0.39 percent of the Company’s total