(UNOFFICIAL TRANSLATION) Factsheet Form: Structured Notes and Explanation Factsheet Information as of [day/month/year] 1 * II means institutional investors. HNW means high net worth investors. 1
Date of receipt of principal repayment 29 March 2019 Paid 28 March 2019 Paid 1 April 2019 Paid 7June 2019 Paid 25 July 2019 25July 2019 25July 2019 Interest received date 19 July 2019 19 July 2019 1April
1,055,507 Total(million baht) 70.08 10.00 100.05 7.02 100.62 22.14 30.13 340.06 Total investment period 22 days 7days 10 days 59 days 115 days 115days 77 days Date of receipt of principal repayment 29 March
resources and liquidity to bear all of the risks of an investment in the Notes, including where the currency for principal, premium or interest payments is different from the potential investor's currency
representative in Thailand Information as of XX XX XXXX Name of the ARFP Fund Unit Class SRI Fund Class code Type of mutual fund Risk Level Low 1 2 3 4 5 6 7 8 High Risk Profile Explanation Investment policy and
Fund Unit Class SRI Fund Class code Type of mutual fund Risk Level Low 1 2 3 4 5 6 7 8 High Risk Profile Explanation Investment policy and strategy Calendar year performance and benchmarks over the past
principal for Spring26 to submit the request for the License return to NBTC on 10 May 2019, comprising 3 transactions as follows: (1) the transaction of the disposal of all investments in WPS (Thailand
and Exchange Commission No. Kor Jor. 4/2560 Re: Determination of the Definitions of Institutional Investor, Ultra-high Net Worth Investor and High Net Worth Investor ___________________________ By
Exchange Commission No. Kor Jor. 4/2560 Re: Determination of the Definitions of Institutional Investor, Ultra-high Net Worth Investor and High Net Worth Investor ___________________________ By virtue of
. Notification of the Securities and Exchange Commission No. Kor Jor. 4/2560 Re: Determination of the Definitions of Institutional Investor, Ultra-high Net Worth Investor and High Net Worth Investor