percent of fixed rate per annum - Long-term loans from TMB was of Bt2,250 million due on Apr 30, 2026 with 3 years grace period and quarterly, principal repayment: Baht 80.4 million/period (the last
percent of fixed rate per annum - Long-term loans from TMB was of Bt2,250.0 million due on Apr 30, 2026 with 3 years grace period and quarterly, principal repayment: Baht 80.4 million/period (the last
LIMITED BP PENSION FUND BRIGHT DEVELOPMENT BANGKOK COMPANY LIM... BRIGHT TV COMPANY LIMITED BROADCAST THAI TELEVISION COMPANY LIMI... BSL LEASING COMPANY LIMITED BT WEALTH INDUSTRIES PUBLIC COMPANY LI
SECURITIES , COMPANY LIMITED TOKIO MARINE LIFE INSURANCE (THAILAND) PUBLIC COMPANY LIMITED TRINITY POLARIS FUTURES COMPANY LIMITED TRINITY ADVISORY 2001 COMPANY LIMITED TRINITY SECURITIES COMPANY LIMITED TMB
Company Limited or TMB Bank Public Company Limited for the transfer of the sale shares, the amendment to the articles of association and any actions that shall obtain consents under the loan agreements
POWER COMPANY LIMITED BRIGHT DEVELOPMENT BANGKOK COMPANY LIMITED BRITANIA PUBLIC COMPANY LIMITED BT WEALTH INDUSTRIES PUBLIC COMPANY LIMITED BTS GROUP HOLDINGS PUBLIC COMPANY LIMITED BU REAL ESTATE
(Schedule 1) are set out in the Appendix 1. 2. Approved the Company entering into credit facilities agreement with TMB Bank Public Company Limited and Bangkok Bank Public Company Limited, each for an amount
(Schedule 1) are set out in the Appendix 1. 2. Approved the Company entering into credit facilities agreement with TMB Bank Public Company Limited and Bangkok Bank Public Company Limited, each for an amount
capital (Contents operation). As a reason for money management, the Company has invested some cash in low-risk funds (such as Krung Thai SS Fund, Thanachart Cash Management Fund and TMB Money Fund) to
4,699,800.00 5.77 5.76 ธนาคารไทยพาณิชย จํากัด (มหาชน) (SCB) 64,700 4,690,750.00 5.76 5.75 ธนาคารทหารไทย จํากัด (มหาชน) (TMB) 1,353,500 1,421,175.00 1.74 1.74 วัสดุกอสราง 4,600,000.00 5.65 5.64 บริษัท ปูนซิเมน