6.5%, declining from 8.1% of the previous year. However, the Company gave priority to maintain interest-bearing debt to equity ratio in an optimal level. At the end of the third quarter, interest
optimal level yet. Therefore, cost per unit was higher at this point, which should continue to impact the Company’s performance for the short term. However, the Company’s operating performance is expected
- PFFUND : Property Perfect Fund ONE ASSET MANAGEMENT LIMITED| | Offering Date : 01/01/2011 - 01/01/2011 http://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0030&PYR=2551 Property Fund Prospectus
=2549 Property Fund Prospectus - PFFUND : Property Perfect Fund ONE ASSET MANAGEMENT LIMITED| | Offering Date : 01/01/2011 - 01/01/2011 http://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0030
Perfect Fund ONE ASSET MANAGEMENT LIMITED| | Offering Date : 01/01/2011 - 01/01/2011 http://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0030&PYR=2551 Property Fund Prospectus - TNPF : Trinity
Perfect Fund ONE ASSET MANAGEMENT LIMITED| | Offering Date : 01/01/2011 - 01/01/2011 http://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0030&PYR=2551 Property Fund Prospectus - TNPF : Trinity
- PFFUND : Property Perfect Fund ONE ASSET MANAGEMENT LIMITED| | Offering Date : 01/01/2011 - 01/01/2011 http://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0030&PYR=2551 Property Fund Prospectus
| | Offering Date : 21/11/2006 - 29/11/2006 http://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0401&PYR=2549 Property Fund Prospectus - PFFUND : Property Perfect Fund ONE ASSET MANAGEMENT LIMITED
Disposition of Securities (Form 246-2) - PF : PROPERTY PERFECT PUBLIC COMPANY LIMITED Reporting Person : - | Type of securities : - | Date of reporting obligation : 16/05/2007 http://capital.sec.or.th/webapp
=2549 Property Fund Prospectus - PFFUND : Property Perfect Fund ONE ASSET MANAGEMENT LIMITED| | Offering Date : 01/01/2011 - 01/01/2011 http://market.sec.or.th/public/mrap/MRAPView.aspx?FTYPE=P&PID=0030