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20 Dec 2019 18:29:00
Report NAV 20/12/2019
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                Report on Net Assets Value (NAV) per unit

Subject                                  : Report NAV
Name                                     : SCB SET INDEX FUND ACCUMULATIVE SHARE
NAV as of                                : 20-Dec-2019
Net Assets Value (Baht per unit)         : 20.5437
Net Assets Value (Baht)                  : 18,686,040,130.23
Balance Units (Units)                    : 909,572,316.7003
Offer price                              : 20.5438
Bid price                                : 20.5437
Signature ___________________________
         (Mrs.Wanida Assawapayukul)

Authorized to sign on behalf of the company
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