One Asset Management Limited, the Management Company of Thai Industrial Fund 1 informed that the Fund dividend payment from adjusted net profit for the operation period from 1 January 2022 to 31 March 2022 and retained earnings is THB 0.1420 per unit and the payment date will be on 16 June 2022; That the book closing date to determine the right of unit holders who are entitled to receive dividend will be on 2 June 2022.
1st Jan change | Capi. | |
---|---|---|
+4.99% | 12.92B | |
+16.38% | 9.95B | |
+1.90% | 5.7B | |
-3.75% | 5.31B | |
+30.07% | 5.19B | |
+5.29% | 5.17B | |
+24.87% | 4.76B | |
+3.11% | 3.98B | |
-3.22% | 3.8B |