and the SEC Office within the period specified in the notification of the Capital Market Supervisory Board. The financial statements were later filed on June 3, 2013 and June 6, 2013 respectively
failure to prepare and submit the financial statement for the year 2019 within the specified period by the notification of the Capital Market Supervisory Board. SEC Act S.300 in conjunction with 56(2
failure to prepare and submit the management discussion & analysis (MD&A) for the year 2019 within the specified period by the notification of the Capital Market Supervisory Board. SEC Act S.300
his holding of SVI securities but failed to prepare and disclose report on change in his holding to the SEC Office within the period specified in the notification of the Capital Market Supervisory Board
statement within the period specified by the notification of the Capital Market Supervisory Board. SEC Act S.56(2) Settlement Committee Meeting No. 2/2021 Settlement Committee Order No. 11/2021 Dated 09
Supervisory Board. SEC Act S.300 in conjunction with 56(2) Settlement Committee Meeting No. 2/2021 Settlement Committee Order No. 6/2021 Dated 09/06/2021
within the period specified by the notification of the Capital Market Supervisory Board. SEC Act S.56(2) Settlement Committee Meeting No. 3/2021 Settlement Committee Order No. 18/2021 Dated 21/07/2021
statement within the period specified by the notification of the Capital Market Supervisory Board. SEC Act S.56(2) Settlement Committee Meeting No. 2/2021 Settlement Committee Order No. 5/2021 Dated 09/06
) to the SET on August 20, 2018 later than the period specified by the Capital Market Supervisory Board. SEC Act S.56(3) Settlement Committee Meeting No. 3/2021 Settlement Committee Order No. 23/2021
statement for the year 2018 within the period as specified by the notification of the Capital Market Supervisory Board. However, Mr. Pravit did not order or act in accordance with the duties of responsible