1 (TRANSLATION) SAFARI WORLD PUBLIC COMPANY LIMITED PCL 0107537000351 Ref. No. 080/2019 4 December 2019 Subject: Notification of the Resolution of the Board of Director’s Meeting regarding of the schedule of EGM1/2020, Capital Decrease, Capital increase, an Increasing of investment cost in Carnival Magic Project, and compensation for design and construction to related person. To: Managing Director The Stock Exchange of Thailand Reference: 1. Information Memorandum on the Issuance and Offering of...
market components. Ultimately, the principles of good governance underpin the sustainable development of a vibrant capital market capable of meeting the market constituents’ growing needs as well as the
purchase date indicated in Share Sale and Purchase Agreement . 4. The details of assets purchased 4.1 Nature of business At-Ze established in 2011 and operated business Original Equipment Manufacturer or OEM
capital from THB 50 million to THB 80 million prior to share sale and purchase date indicated in Share Sale and Purchase Agreement . 4. The details of assets purchased 4.1 Nature of business At-Ze
capital from THB 50 million to THB 80 million prior to share sale and purchase date indicated in Share Sale and Purchase Agreement . 4. The details of assets purchased 4.1 Nature of business Type Ordinary
lowest at THB 18.00 / kg. in 4th quarters. - Quantity: Sale volume in the Year of 2017 was 68,791 tons, which has decreased by 4,721 tons or 27.22% a result from decrease purchased order from existing
lowest at THB 18.00 / kg. in 4th quarters. - Quantity: Sale volume in the Year of 2017 was 68,791 tons, which has decreased by 4,721 tons or 27.22% a result from decrease purchased order from existing
business days from the date on which the fund supervisor has certified the information in such reports. (4) Complete the price compensation and give written notice to the person who purchased or redeemed the
purchased or redeemed the investment units during such period the unit price is incorrect, notifying the price correction under (2) and the price compensation, within five business days from the date on which
business days from the date on which the fund supervisor has certified the information in such reports. (4) Complete the price compensation and give written notice to the person who purchased or redeemed the