selling and redemption investment units (c) Increasing in selling agent (d) Increasing in frequency of (e) Decreasing in 2. Comply with the SEC regulations. 3. Correcting the misspelling of name
selling and redemption investment units (c) Increasing in selling agent (d) Increasing in frequency of (e) Decreasing in 2. Comply with the SEC regulations. 3. Correcting the misspelling of name
of unitholders register for dividend payment shall be announced on the following business day. (4) The NAV and the investment unit value as of the business day before selling the investment units to
of unitholders register for dividend payment shall be announced on the following business day. (4) The NAV and the investment unit value as of the business day before selling the investment units to
selling securities in such a way that does not involve a change of beneficial ownership of such securities; 2. Placing a securities purchasing order while being aware that oneself or an associate has made
selling securities in such a way that does not involve a change of beneficial ownership of such securities; 2. Placing a securities purchasing order while being aware that oneself or an associate has made
Persons Receiving an Allocation With the Value of More Than One Million Baht from the Sponsor's Quota (Form 35-IPO-1M) Report of sale of IPO Shares (Form 81-1-IPO) Report of the Selling of Shares / Newly
) The time of more than 1 day in which the mutual fund management company rejects the selling or repurchase of investment units or suspends acceptance of purchase or redemption orders. (4) Preparation and
) The time of more than 1 day in which the mutual fund management company rejects the selling or repurchase of investment units or suspends acceptance of purchase or redemption orders. (4) Preparation and
(in case of selling to retail investors, listing of the units in the Stock Exchange is required to enhance the liquidity). In case the asset value of Greenfield* projects > 30% of the total asset