stock, the fair valuation range is 0 .3 3 – 0 .7 7 Baht per share and the offering price is equal to 1 Baht per share as well as the allocation of support shares which are determined along with the
which are determined along with the conversion price at 1 .4 3 Baht per share accounted as a premium around 86 percent to 43 percent from fair valuation and the offered price via private placement
March 31, 2017. 6. Basis to Determine the Value of Consideration Value of the assets to be acquired was determined based on an arm-length negotiation between the Company and the seller, that is, the said
and available to clients on a subscription basis. 2 Source: PSG. Sector and country allocations and asset classes determined by PSG are expressed as a percentage of total investments (by market value
bonds are entitled to redemption under a firm quotation price or at a minimum price pre-determined on the issue date of such bonds. Clause 12 In order to appoint or assign any person to perform duties
เลขที่ 097/0454 1/5 เลขท่ี 1 อาคาร ทีพี แอนด์ ที ชัน้ 14 ซอยวิภาวดีรังสติ 19 14th Floor, TP&T Tower 1 Soi Vibhavadee-Rangsit 19 Tel : (662) 936-1661-2 แขวงจตจุกัร เขตจตจุกัร กรุงเทพฯ 10900 Chatuchak, Chatuchak, Bangkok 10900, Thailand Fax : (662) 936-1669 ทะเบียนเลขท่ี 0107554000097 Registration No. 0107554000097 HYDROTEK PUBLIC COMPANY LIMITED บริษทั ไฮโดรเท็ค จ ำกดั (มหำชน) (Translation) No. 056/0862 23 August 2019 Subject: Notification of Resolutions of the Board of Directors’ Meeting No. 9/2...
holding shares in ECSB, and the future business expansion of ECSB will only be determined by Mr. Lim Chee Seng, a major shareholder of ECSB holding 50 percent of the total issued shares of ECSB. In this
Cogeneration plants that will expire between 2017-2025. The guideline has determined that EGAT will purchase electricity from each of these power plants no more than 30 MW for 10 years tenor at Baht 2.37 per
”, “greenfield project”, “financial advisor”, “debt financing” and “associated person” shall be construed as accordingly determined by the Notification of the Capital Market Supervisory Board on the Offering of
for an Offer for Sale of Debt Securities (No. 5) dated 28 March 2012. Clause 311 Unless otherwise specified in this Notification, the definitions determined in the Notification of the Securities and