SCB ASSET MANAGEMENT COMPANY LIMITED|Super Savings Fund : SSF | Offering Date : 08/12/2020 - 22/12/2020
ABERDEEN ASSET MANAGEMENT (THAILAND) LIMITED|Feeder Fund ,Super Savings Fund : SSF | Offering Date : 06/06/2023 - 16/06/2023
SCB ASSET MANAGEMENT COMPANY LIMITED|Feeder Fund ,Retirement Mutual Fund : RMF | Offering Date : 24/08/2021 - 30/08/2021
Microsoft Word - Commitment_KFF21H.docx ขอ้ผูกพนักองทุนเปิดเค ตราสารหนี ต่างประเทศ 2021I 1 ขอ้ผกูพนัระหว่างผูถื้อหน่วยลงทนุและบริษทัจดัการ 1. บรษิทัจดัการ : ชื#อ : บริษัท หลกัทรพัยจ์ดัการกองทุนกสิกรไทย จาํกดั ที#อยู ่(ภาษาไทย) : 400/22 อาคารธนาคารกสิกรไทย ชัน 6 และ 12 ถนนพหลโยธิน แขวงสามเสนใน เขตพญาไท กรุงเทพฯ 10400 โทรศพัท ์0 2673 3888 โทรสาร 0 2673 3988 ที#อยู ่(ภาษาองักฤษ) : 400/22 KASIKORNBANK Building, 6th and 12th Floor, Phahon Yothin Road, Samsen Nai, Phaya Thai, Bangkok 10400 Tel. 0 2673...
shall administer and manage a fund with responsibility, due care and loyalty for the interest of the unitholders including acting in compliance with the law, the fund project, the commitment between the
and loyalty for the interest of the unitholders including acting in compliance with the law, the fund project, the commitment between the unitholders and the management company and the resolution of the
and loyalty for the interest of the unitholders including acting in compliance with the law, the fund project, the commitment between the unitholders and the management company and the resolution of the
following details: (1) in cases where the mutual fund has a policy to invest in assets of the infrastructure business which are the rights to future income or the rights under an agreement to share future
fund Regulations SHARE : Detail Content Establishment of Mutual Funds 2. Methods in applying for approval of establishment of mutual fund (1) Applying for normal approval The mutual fund management
fund Regulations SHARE : Detail Content Establishment of Mutual Funds 2. Methods in applying for approval of establishment of mutual fund (1) Applying for normal approval The mutual fund management