accounting period, and must specified name as “ Mutual Fund Investing in Infrastructure fund". 2. In case of a sector fund, the name of the fund shall reflect the specific sectors on which the fund intends to
accounting period, and must specified name as “ Mutual Fund Investing in Infrastructure fund". 2. In case of a sector fund, the name of the fund shall reflect the specific sectors on which the fund intends to
SEC and not more than five persons elected by members of the SET to reflect on the involvement of capital market stakeholders. The SET Board must appoint one person as the SET Manager to manage the
SEC and not more than five persons elected by members of the SET to reflect on the involvement of capital market stakeholders. The SET Board must appoint one person as the SET Manager to manage the
distribution channels of the investment units of all mutual funds under management. i.e. A report on mutual fund's investment information / performance data of the mutual fund, to be disclosed within 15 days
investment information / performance data of the mutual fund, to be disclosed within 15 days from the last business day of each month. Except for the case of a mutual fund with the net exposure in a foreign
categorized in different classes by types of returns, refunds, fees or expenses. The name of the REIT shall reflect key characteristics of the trusts. REIT units are required to be listed in SET. Offer for
ธุรกิจ MD&A" เอกสารบรรยายหัวข้อ "การขับเคลื่อนธุรกิจเพื่อความยั่งยืน" เอกสารบรรยายหัวข้อ "แผนการจัดทำและส่งข้อมูลในระบบอิเล็กทรอนิกส์ (structure data)" สรุปคำถาม-คำตอบ จากการอบรมครั้งที่ 1-7
applicant’s financial condition, business operation, assets or any relevant data. Clause 9 In case where the SEC is of the view that the applicant under Clause 7 has qualifications as specified in this
annual key financial ratio Summary of supporting documents for the application to offer debt securities using IPOS system Guideline on transmission of data using IPOS system and transmission method Related