enforceable demand for onward disclosure in the Requesting Authority’s jurisdiction, the latter will notify the Requested Authority prior to complying with such a demand, unless it would be a breach of Domestic
นว่ำ ในกรณีที่กรรมกำรของ บริษัท breach of fiduciary duty และก่อให้เกิดควำม เสียหำยแก่บริษัท ผู้ถือหุ้นสำมำรถฟ้องเรียกร้องค่ำเสียหำย / เรียกคืนผลประโยชน์จำกกรรมกำรแทนบริษัทได้ตำม กฎหมำย ระบุข้อควำมตำมท่ี
prescribed under Clause 22/2: (1) within a period of five years prior to the date of submitting the application: (a) having acted in violation of any rule or condition related to securities offering in a
been disclosed, in which case the Company and the financial advisor may be liable to violation of Section 278 of the Securities and Exchange Act B.E. 2535 (1992). In addition, if the Company wishes to
responsible person to be Thai nationality; (3) having compliance committee in order to consider facts in respect of violation of standards and ethics regarding appraisal profession. In this regard, at least
any person to act in violation of the law on securities and exchange and regulations issued under such law as well as other relevant laws; (7) comply with laws and notifications relating to contacting
support, instruct or cooperate with any person to act in violation of the law on securities and exchange and regulations issued under such law as well as other relevant laws; (7) comply with laws and
support, instruct or cooperate with any person to act in violation of the law on securities and exchange and regulations issued under such law as well as other relevant laws; (7) comply with laws and
offences under (4) shall apply. Clause 16 The auditor in the capital market shall not have the following behaviors: (1) lack of professional ethics or violation of or non-compliance with the regulations
regarding unfair practices in securities trading. 8. P rohibited behaviors (1) l ack of professional ethics or violation of or non-compliance with the regulations under the law governing