Companies/Securities in Focus
MIT : MFC INDUSTRIAL REAL ESTATE INVESTMENT TRUST
Company Name
MFC INDUSTRIAL REAL ESTATE INVESTMENT TRUST
Address
199 Column Tower, Ground & 21st -23rd Floor, Ratchadapisek Road, Klongtoey Bangkok
Telephone
0-2649-2182
Fax
0-2649-2108
Website
Asset Management Company
MFC ASSET MANAGEMENT PUBLIC COMPANY LIMITED
Property Manager
Palmer Capital Asia (Hong Kong) Ltd.
Investment Policy
To invest in 100% shares of APUK Limited which own the freehold right of land and warehouse building that be utilized as a data centre, including equipment and systems with the net leasable area 1,342 square meters and the properties located at Anchor and Hope Lane, Charlton, London, England.
Annual Report
Form56-1
Financial Statement
|
Trading Statistics (as of 20 May 2022)
P/E
-
Dvd. Yield(%)
13.32
P/NAV
0.34
Market Cap. (M. Baht)
296.40
|
Market
SET
Industry
Property & Construction
Sector
Property Fund & REITs
First Trade Date
23 Dec 2015
Capital Detail
Par Value
8.325 Baht
Common Stock
Authorized Capital
811,687,500.00 Baht
Paid-up Capital
811,687,500.00 Baht
Preferred Stock
Authorized Capital
-
Paid-up Capital
-
Foreign Limit
49.00000 %
(as of 20/05/2022) ISIN Number
Local
TH6947010000
Foreign
TH6947010018
NVDR
-
Fiscal End
31/12
Company Auditor (Effective Until 31/12/2022)
The person taking the highest responsibility in finance and accounting
-
The person supervising accounting
-
|
Shares Detail
Common Stock
Listed Share
97,500,000 Shares
Paid-up Stock
97,500,000 Shares
Voting Right Ratio
1 : 1
Treasury Stock
-
Voting Stock minus Treasury Stock
as of 23 May 2022
97,500,000 Shares
as of 30 Apr 2022
97,500,000 Shares
Preferred Stock
Listed Share
-
Treasury Stock
-
Voting Stock minus Treasury Stock
as of 23 May 2022
-
as of 30 Apr 2022
-
|
Dividend Policy
No lesser than 90% of net profit in each accounting period (with additional conditions)
|
Remark
• For foreign listed company (Secondary Listing), P/E P/BV and Dividend Yield are calculated by applying BOT exchange rates for comparison purpose only.
• For foreign listed company (Secondary Listing), P/E P/BV and Dividend Yield are calculated by applying BOT exchange rates for comparison purpose only.