Incorrect Selling Price or Redemption Price of Investment Units of Open-End Funds _____________ By virtue of Clause 26/1 of the Notification of the Securities and Exchange Commission No. KorNor. 46/2541, Re
รถนําเงินของลูกคาไปลงทุนในหนวยลงทนุ ของกองทุนรวม 2 ประเภท คอื (1) หนวยลงทุนของกองทุนรวมเปดที่กําหนดวนัทําการซื้อขายหนวยลงทุนทุกวันทาํการ (daily redemption fund) และคุมครองเงินตน (2) หนวยลงทุน
Mutual Funds (Fact sheet) June/2023 Click here to display all results [Mutual Funds] NAV and Sale&Redemption ( 56 record(s) found) No. Report Name Data File : Net Asset Value Data File : Sale and
property fund; (2) the advertisement must be made in print or electronic media; (3) presentation of the estimated return or the auto-redemption rate shall not be more prominent than https://publish.sec.or.th
must be made in print or electronic media; (3) presentation of the estimated return or the auto-redemption rate shall not be more prominent than https://publish.sec.or.th/nrs/4336pe_r.pdf Microsoft Word
must be made in print or electronic media; (3) presentation of the estimated return or the auto-redemption rate shall not be more prominent than https://publish.sec.or.th/nrs/4336pe_r.pdf Microsoft Word
must be made in print or electronic media; (3) presentation of the estimated return or the auto-redemption rate shall not be more prominent than https://publish.sec.or.th/nrs/4336pe_r.pdf Microsoft Word
) An extension of the maturity date for redemption for three years; (3) A reduction of interest rate to 2-7 percent per year, from 20 November 2024 until the new maturity date. Regarding
more principle-based approach in relation to regulations on eligible assets, with an emphasis on certain characteristics of the assets, such as sufficient liquidity to meet redemption requests and
Rules, Conditions and Procedures for Appointment of Agents for Selling Investment Units or Receiving Requisition of Investment Unit Redemption and Marketing Representatives of Private Funds (Codefied