6. Chart representing the fund’s risk indicator for mutual funds in general. Risk Level Low 1 2 3 4 5 6 7 8 High Highly risky Investing primarily in equities at an average of not less than 80% of NAV
Management of Retails Funds, Mutual Funds for Accredited Investors, Mutual Funds for Institutional Investors and Private Funds. According to AIMC standards According to AIMC standards 6. Chart representing the
the securities clearing house, including credit risk and liquidity risk. The financial resources shall be assets with high liquidity and low-price volatility which may be any of the following assets: (1
assets with high liquidity and low-price volatility which may be any of the following assets: (1) assets contributed by members; (2) assets procured as collateral for payment obligation; (3) assets
previous years and be more responsive to global megatrends and the implications to the capital market in the next decade, such as volatility of capital flows, direction of the new rules and standards in
volatility”) ของหุนอางอิง กําหนดใหเปดเผยขั้นต่ํา 1 คาโดยใชขอมูลของหุนอางอิงประกอบการคํานวณยอนหลัง 90 วัน และสามารถ lag ขอมูลไดไมเกิน 5 วันทําการกอนวันที่ยื่นแบบ filing (ข) ขอมูลที่ตองเปดเผยตอ
percent from the same period of last year affected by foreign exchange volatility during the Covid-19 pandemic in first quarter that lead to accumulated loss on exchange rate. 2. Cost of goods sold and
account, bond dealing, private repos and other investments. The Company’s DW business was significantly impacted by the extreme volatility of the Thai stock market during March 2020. The Company is a market
The spread of COVID-19 pandemic since March 2020 has resulted in severe volatility in debt and equity markets around the world, and consequently stimulated investment outflows from mutual funds
แนวคิด “Building Resilient Business Models Model Amid Volatility and Change” ซึ่ง ก.ล.ต. เข้าร่วมจัดแสดงบูธนิทรรศการเป็นปีที่ 4 ติดต่อกัน เพื่อสร้างความตระหนักรู้เกี่ยวกับบทบาทหน้าที่ของ ก.ล.ต. ในการส่ง