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for Sale of Debt Securities (Codified) _________________________ By virtue of Section 57(6) of the Securities and Exchange Act B.E. 2535 (1992), the SEC Office hereby issues the following regulations
company interest and prevention of conflicts of interest.The SET has conducted a public hearing on draft preliminary measures whereby listed companies with financial problems or issues on financial
capital market should be protected by relevant authorities in a correct and proper manner. There should also be measures in place to prevent problems when investors use services by different providers
with the Ministry of Finance and regarded as another mechanism for protecting and empowering shareholders to make their own decisions to solve the company's problems; (3) CMDF: establishing the CMDF as a
University SEC Capital Market Regional Seminar 2022 July 1st, 2022 Introduction Environmental and social issues such as pollution, global warming, illegal labor, child labor, society and community problems
-transition 14 • Background • ESG disclosure and reporting • Introduction to TCFD • Pillar 1: Governance • Discussion points • Q&A Current limitations and key challenges of the ESG disclosures and ESG rating as
(commonly cited issues & challenges) ▪ Low client demand ▪ No evidence of investment benefits of ESG ▪ Lack of historical and comparable ESG data ▪ Lack of company culture ▪ Too much non-material information
Securities and Exchange Commission SorNor 21/2553 Related Persons of Unitholders of Property Funds for Solving Financial Institution Problems, Mutual Funds for Solving Financial Institution Problems and
) Date (Oldest) Notification of the Office of the Securities and Exchange Commission SorNor 21/2553 Related Persons of Unitholders of Property Funds for Solving Financial Institution Problems, Mutual Funds