the number of investment units on the next business day. 8.2 The payment for redemption of the investment units within the period specified in the schemes, the timing which should not exceed the
the number of investment units on the next business day. 8.2 The payment for redemption of the investment units within the period specified in the schemes, the timing which should not exceed the
NAV/AUM ของ บลจ. และอุตสาหกรรม ห้ามนับซ้ำ อำนาจสั่งการของ ก.ล.ต. ผู้จัดการกองทุน การวัดผลการดำเนินงาน การจัดทำงบการเงินของกองทุนรวม การกำหนดหลักเกณฑ์เพิ่มเติม การคำนวณและประกาศมูลค่าทรัพย์สิน (NAV
of Business in Capital Market 3.1 Regulatory Summary for preparation and submission of financial statements 3.2 Rules related to CFO and Chief Accountant 3.1 Regulatory Summary for
Content Resource Center for Sustainability-themed Bonds Resource Center for Responsible Investment Resource Center Resource Center for Sustainability-themed Bonds Resource Center for Responsible
> Private Funds or Provident Funds Regulations SHARE : Detail Content Private Funds or Provident Funds Summary of regulations 1. Execution of Agreements for Management of Private funds or Provident Funds 2
> Private Funds or Provident Funds Regulations SHARE : Detail Content Private Funds or Provident Funds Summary of regulations 1. Execution of Agreements for Management of Private funds or Provident Funds 2
> Management of Mutual Fund > Procedures for incorrect pricing Regulations SHARE : Detail Content Management of Mutual Fund 7. Procedures for incorrect pricing (1) Retrospectively price correction only for
> Management of Mutual Fund > Procedures for incorrect pricing Regulations SHARE : Detail Content Management of Mutual Fund 7. Procedures for incorrect pricing (1) Retrospectively price correction only for
. Mutual fund performance measurement 4 . Preparation of financial reports of mutual fund 5. Prescription of additional rules 6. Calculation and announcement of net asset values (NAV) 7. Procedures for