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person having the characteristics under Paragraph 1(1) or (2) if the management company can demonstrate to the SEC Office that such person has rectified the cause, work system, management structure and
person having the characteristics under Paragraph 1(1) or (2) if the management company can demonstrate to the SEC Office that such person has rectified the cause, work system, management structure and
) if the management company can demonstrate to the SEC Office that such person has rectified the cause, work system, management structure and operating control, which has caused such person to have the
current assets Cash and cash equivalents + Restricted cash + Current investments + Trade account receivable Total current liabilities EBITDA for DSCR for the last 12 months Principal and interest to be paid
ธุรกิจขนำดใหญ่ (Big Corporate & Corporate) สินเชื่อเพื่อธุรกิจ ขนำดกลำงและขนำดย่อม (SMEs & SSME) และสินเชื่อเพื่อรำยย่อย (Retail) นอกจำกนี้ ธนำคำรให้บริกำรธุรกิจกำรค้ำระหว่ำงประเทศ (Trade Finance) เพื่อ
trade derivatives which have specific risks different from those disclosed in the risk disclosure statement under Clause 14 and the intermediary has never disclosed such specific risks, the intermediary
Investor. 3 The Law on Derivatives means the Derivatives Act B.E. 2546 (2003). 9 Clause 15 In cases where a client wishes to trade derivatives which have specific risks different from those disclosed in the
Investor. 3 The Law on Derivatives means the Derivatives Act B.E. 2546 (2003). 9 Clause 15 In cases where a client wishes to trade derivatives which have specific risks different from those disclosed in the
” means a person who performs the duty of assisting decision making to invest or trade capital market product and could access information on investment by virtue of performing such duty, regardless by