The Company as a REIT Manager Responsible for managing the REIT and supervise the performance of duties of the tenants of the REIT’s main assets to be in accordance with the Company’s policy Trust Establishment Agreement , data sheet , Prospectus, regulations and related laws More

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Annual Reports 2020

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NAV Net Asset Value (Baht per Unit):8.0564 Currency: THB
Change : (%Change) Net asset value (THB)
1.22% 1,258,821,101.45

unit price Updated: 30 Sep 2021 , time 17.39

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