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Today Financial Reporting News
Date/Time | Symbol | Source | Headline |
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01 Jul 2022 08:12:15 | EBANK | EBANK | Financial Statement Half Year 2022 (Unreviewed/Unaudited) | ZIP | |
01 Jul 2022 06:48:55 | GLD | GLD | Financial Statement Yearly 2022 (Audited) | ZIP |
Date/Time | Symbol | Source | Headline | ||
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01 Jul 2022 21:00:18 | TRUE | TRUE | Notification of the Change of Presidents (Co) | Detail | |
01 Jul 2022 20:44:43 | K | K | Clarification of Trading Alert List | Detail | |
01 Jul 2022 20:02:25 | UREKA | UREKA | Report on the results of the Exercise of UREKA-W2 (F53-5) | Detail | |
01 Jul 2022 19:43:50 | TISCO | TISCO | FORM TO REPORT ON NAMES OF MEMBERS AND SCOPE OF WORK OF THE AUDIT COMMITTEE (F24-1) | Detail | |
01 Jul 2022 19:28:38 | SYNEX | SYNEX | Changing of Chief Accountant | Detail | |
01 Jul 2022 19:13:42 | UBE | UBE | Acquisition of Ordinary Shares in Ubon Saeng Arthid Company Limited | Detail | |
01 Jul 2022 19:11:04 | FTI | FTI | Report on the use of proceeds from capital increase received from the initial public offering of newly issued ordinary shares | Detail | |
01 Jul 2022 19:09:12 | FTI | FTI | Resignation of Director | Detail | |
01 Jul 2022 19:05:35 | FMT | FMT | Extra Board of Directors' Resolution Notified Independent Director Resignation. | Detail | |
01 Jul 2022 19:00:37 | SAFARI | SAFARI | Notification of the Resolution of the Board regarding of the schedule of an Increase of Investment cost in Carnival Magic Project | Detail | |
01 Jul 2022 18:59:58 | IVL | IVL | Report on the completion of the acquisition of wool spinning businesses in Europe | Detail | |
01 Jul 2022 18:41:41 | STANLY | STANLY | Appointment Audit Committee | Detail | |
01 Jul 2022 18:41:11 | STANLY | STANLY | Shareholders meeting's resolution | Detail | |
01 Jul 2022 18:28:13 | UREKA | UREKA | Report on the results of the Exercise of convertible debentures (F53-5) | Detail | |
01 Jul 2022 18:21:10 | PTT13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | PTL13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | PRM13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | MTC13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | KCE13P2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | JAS13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | AMAT13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | TISC13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | TASC13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | RS13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | PTTE13P2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | DOHO13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | DELT13C2207B | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | DELT13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | COM713C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | BANP13P2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | BANP13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | IVL13P2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | HANA13P2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | GUNK13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | GULF13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | ESSO13C2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:21:10 | EA13P2207A | KGI | Settlement Price and Net Cash Settlement of 23 Derivative warrants issued by KGI | Detail | |
01 Jul 2022 18:04:10 | UREKA | UREKA | Notification of conversion price calculation of the convertible debentures | Detail | |
01 Jul 2022 17:58:31 | EFORL | EFORL | Report on the results of the Exercise of EFORL-W5 (F53-5) | Detail | |
01 Jul 2022 17:57:56 | SAWA24C2207A | FSS | Settlement Price and Net Cash Settlement of 10 Derivative warrants issued by FSS | Detail | |
01 Jul 2022 17:57:56 | RBF24C2207A | FSS | Settlement Price and Net Cash Settlement of 10 Derivative warrants issued by FSS | Detail | |
01 Jul 2022 17:57:56 | PTTG24C2207A | FSS | Settlement Price and Net Cash Settlement of 10 Derivative warrants issued by FSS | Detail | |
01 Jul 2022 17:57:56 | PTT24C2207A | FSS | Settlement Price and Net Cash Settlement of 10 Derivative warrants issued by FSS | Detail | |
01 Jul 2022 17:57:56 | KBAN24C2207A | FSS | Settlement Price and Net Cash Settlement of 10 Derivative warrants issued by FSS | Detail | |
01 Jul 2022 17:57:56 | HMPR24C2207A | FSS | Settlement Price and Net Cash Settlement of 10 Derivative warrants issued by FSS | Detail | |
01 Jul 2022 17:57:56 | GLOB24C2207A | FSS | Settlement Price and Net Cash Settlement of 10 Derivative warrants issued by FSS | Detail | |
01 Jul 2022 17:57:56 | DTAC24C2207A | FSS | Settlement Price and Net Cash Settlement of 10 Derivative warrants issued by FSS | Detail | |
01 Jul 2022 17:57:56 | BBL24C2207A | FSS | Settlement Price and Net Cash Settlement of 10 Derivative warrants issued by FSS | Detail | |
01 Jul 2022 17:57:56 | AMAT24C2207A | FSS | Settlement Price and Net Cash Settlement of 10 Derivative warrants issued by FSS | Detail | |
01 Jul 2022 17:52:30 | FTREIT | FTREIT | Invitation to Unitholders to Propose an Agenda for the 2023 Annual General Meeting of Trust Unitholders of FTREIT in advance | Detail | |
01 Jul 2022 17:49:46 | AQUA | AQUA | Reporting Share Repurchases form for financial management purposes | Detail | |
01 Jul 2022 17:46:09 | TNL | TNL | Submission of the Amendment to Opinion of the Company on the Tender Offer (Form 250-2) of Thanulux Public Company Limited | Detail | |
01 Jul 2022 17:40:52 | PACE | PACE | Notification the final exercise and request for suspension of PACE-W3 | Detail | |
01 Jul 2022 17:37:56 | mai | mai | List of securities which has triggered the Market Surveillance Measures | Detail | |
01 Jul 2022 17:37:56 | K | mai | List of securities which has triggered the Market Surveillance Measures | Detail | |
01 Jul 2022 17:36:56 | TOA | TOA | Notification of the Completion of the Connected Transaction to Acquire Ordinary Shares in Fast-Mix Company Limited from TOA Group Holding Company Limited | Detail | |
01 Jul 2022 17:36:11 | JMT | JMT | Report on the results of the Exercise of JMT-W4 No. 2 and ESOP W1 No. 7 of June 2022 (F53-5) | Detail | |
01 Jul 2022 17:35:08 | JMART | JMART | Report on the results of the Exercise of JMART-W6 (No. 3) of June 2022 (F53-5) | Detail | |
01 Jul 2022 17:34:54 | JMART | JMART | Report on the results of the Exercise of JMART-W4 (No. 8) and JMART-W5 (No. 4) of June 2022 (F53-5) | Detail | |
01 Jul 2022 17:32:50 | PLANB | PLANB | Report on the utilization of proceeds from capital increase from Rights Offering | Detail | |
01 Jul 2022 17:30:54 | JMART | JMART | Revision and Disclosure of the JFIN Token Project White Paper (No. 3) and the Establishment of a New Subsidiary to Engage in Related Business | Detail | |
01 Jul 2022 17:25:52 | TRUBB | TRUBB | Report on the results of the Exercise of TRUBB-W2 (F53-5) | Detail | |
01 Jul 2022 17:25:32 | ADVANC | ADVANC | Purchase of Investment in Startup from Intouch | Detail | |
01 Jul 2022 17:21:41 | INTUCH | INTUCH | Notification of the disposal of investments and the connected transaction | Detail | |
01 Jul 2022 17:21:36 | BYD | BYD | Report on the results of the Exercise of BYD-W6 (F53-5) (revised) | Detail | |
01 Jul 2022 17:19:56 | XPG | XPG | Report on the results of the Exercise of XPG-W4 (F53-5) | Detail | |
01 Jul 2022 17:18:18 | GEL | GEL | Notification the exercise of GEL-W5 | Detail | |
01 Jul 2022 17:17:39 | TOG | TOG | Company Holidays in the Year 2022 (Revised) | Detail | |
01 Jul 2022 17:17:17 | TU19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | TTB19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | TTA19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | TRUE19P2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | TOP19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | TOP19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | AMAT19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | AEON19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | WHA19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BANP19P2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BANP19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BANP19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BAM19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | AWC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | AOT19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BPP19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BJC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BGRI19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BEC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BCPG19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BBL19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | CPAL19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | COM719C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | CKP19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | CK19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BTS19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | BTS19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | EA19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | DTAC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | DOHO19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | CPN19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | CPF19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | CPF19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | GULF19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | GPSC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | GLOB19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | EPG19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | EA19P2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | EA19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | HMPR19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | HANA19P2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | HANA19C2207C | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | HANA19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | HANA19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | GUNK19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | JMAR19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | IVL19P2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | IVL19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | IVL19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | IRPC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | INTU19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | KEX19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | KCE19P2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | KCE19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | KBAN19P2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | KBAN19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | JMT19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | ORI19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | OR19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | MTC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | MINT19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | MEGA19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | KTC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | PTTG19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | PTTG19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | PTTE19P2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | PTTE19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | PTTE19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | OSP19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | SCGP19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | SCC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | SAWA19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | RS19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | RCL19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | RBF19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | STGT19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | STEC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | STAR19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | STA19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | SPRC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | SIRI19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | TISC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | TIDL19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | TCAP19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | TCAP19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | TASC19C2207A | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:17:17 | STGT19C2207B | YUANTA | Settlement Price and Net Cash Settlement of 87 Derivative warrants issued by YUANTA | Detail | |
01 Jul 2022 17:14:07 | SWC | SWC | Report on the results of the Exercise of ESOP-W1 (F53-5) | Detail | |
01 Jul 2022 17:13:17 | ICBC28C2211A | MACQ | Right adjustment of ICBC28C2211A | Detail | |
01 Jul 2022 17:12:35 | AJA | AJA | Notification of Conversion Price Calculation and The registration of change of paid-up capital | Detail | |
01 Jul 2022 17:12:21 | ICBC28C2210A | MACQ | Right adjustment of ICBC28C2210A | Detail | |
01 Jul 2022 17:10:49 | ANAN | ANAN | Notification of Resignation of Independent Director and Audit Committee Member | Detail | |
01 Jul 2022 17:08:45 | ERW | ERW | Report on the Utilization of Capital Increase from the offering of newly issued ordinary shares to the existing shareholders (Rights Offering) (Revised) | Detail | |
01 Jul 2022 17:07:11 | JCK | JCK | Report on the results of the Exercise of JCK-W6 (F53-5) | Detail | |
01 Jul 2022 17:06:55 | STAR06C2207A | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:55 | SIRI06C2207A | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:55 | PLAN06C2207K | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:55 | OR06C2207A | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:55 | MINT06C2207K | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:55 | JMT06C2207A | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:55 | HANA06C2207A | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:55 | CRC06C2207K | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:55 | CPF06C2207A | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:55 | CHG06C2207A | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:55 | BEC06C2207A | KKPS | Notification of Book Closed Date and Trading Suspension of 11 DWs issued by KKPS | Detail | |
01 Jul 2022 17:06:31 | TFI | TFI | Report on the results of the Exercise of TFI-W1 (F53-5) | Detail | |
01 Jul 2022 17:06:10 | TFI | TFI | Resignation of CFO | Detail | |
01 Jul 2022 17:05:57 | JCKH | JCKH | Report on the results of the Exercise of JCKH-W1 (F53-5) | Detail | |
01 Jul 2022 17:05:19 | SMK | SMK | Disclosure of information on the Company's website | Detail | |
01 Jul 2022 17:04:13 | JCKH | JCKH | Issuance and offering to the convertible debentures No. 7/2022 | Detail | |
01 Jul 2022 17:04:01 | PIMO | PIMO | Notification the exercise of PIMO-W2 | Detail | |
01 Jul 2022 17:03:54 | UHERO | UHERO | Announcement of an addition to the Participating Dealers list for United Hero ETF (UHERO) | Detail | |
01 Jul 2022 17:03:07 | TTB42C2206G | MST | Settlement Price and Net Cash Settlement of 9 Derivative warrants issued by MST | Detail | |
01 Jul 2022 17:03:07 | TRUE42C2206G | MST | Settlement Price and Net Cash Settlement of 9 Derivative warrants issued by MST | Detail | |
01 Jul 2022 17:03:07 | S5042P2206G | MST | Settlement Price and Net Cash Settlement of 9 Derivative warrants issued by MST | Detail | |
01 Jul 2022 17:03:07 | S5042C2206G | MST | Settlement Price and Net Cash Settlement of 9 Derivative warrants issued by MST | Detail | |
01 Jul 2022 17:03:07 | OR42C2206G | MST | Settlement Price and Net Cash Settlement of 9 Derivative warrants issued by MST | Detail | |
01 Jul 2022 17:03:07 | KBAN42C2206G | MST | Settlement Price and Net Cash Settlement of 9 Derivative warrants issued by MST | Detail | |
01 Jul 2022 17:03:07 | IVL42C2206G | MST | Settlement Price and Net Cash Settlement of 9 Derivative warrants issued by MST | Detail | |
01 Jul 2022 17:03:07 | GULF42C2206G | MST | Settlement Price and Net Cash Settlement of 9 Derivative warrants issued by MST | Detail | |
01 Jul 2022 17:03:07 | EA42C2206G | MST | Settlement Price and Net Cash Settlement of 9 Derivative warrants issued by MST | Detail | |
01 Jul 2022 17:02:55 | PSTC | PSTC | Appointment of Chief Accountant | Detail | |
01 Jul 2022 17:02:30 | RATCH | RATCH | Changing of Chief Accountant | Detail | |
01 Jul 2022 17:01:32 | mai | mai | Trading Alert List Information | Detail | |
01 Jul 2022 17:01:32 | K | mai | Trading Alert List Information | Detail | |
01 Jul 2022 17:01:32 | RATCH | RATCH | Resignation of a Director | Detail | |
01 Jul 2022 17:00:51 | mai | mai | Listed companies not appointed audit committees as June 30, 2022 | Detail | |
01 Jul 2022 17:00:51 | SET | SET | Listed companies not appointed audit committees as June 30, 2022 | Detail | |
01 Jul 2022 17:00:28 | KCE13C2211A | SET | SET adds new listed securities : KCE13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:28 | SET | SET | SET adds new listed securities : KCE13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:28 | SYNEX13C2211A | SET | SET adds new listed securities : SYNEX13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:28 | SET | SET | SET adds new listed securities : SYNEX13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:27 | FORTH13C2211A | SET | SET adds new listed securities : FORTH13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:27 | SET | SET | SET adds new listed securities : FORTH13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:27 | SET | SET | Listed companies that fails to submit information and report under section 56 as of June 30, 2022 | Detail | |
01 Jul 2022 17:00:27 | POLAR | SET | Listed companies that fails to submit information and report under section 56 as of June 30, 2022 | Detail | |
01 Jul 2022 17:00:27 | PACE | SET | Listed companies that fails to submit information and report under section 56 as of June 30, 2022 | Detail | |
01 Jul 2022 17:00:27 | NOK | SET | Listed companies that fails to submit information and report under section 56 as of June 30, 2022 | Detail | |
01 Jul 2022 17:00:27 | MAX | SET | Listed companies that fails to submit information and report under section 56 as of June 30, 2022 | Detail | |
01 Jul 2022 17:00:27 | GL | SET | Listed companies that fails to submit information and report under section 56 as of June 30, 2022 | Detail | |
01 Jul 2022 17:00:27 | TSF | mai | Listed companies that fails to submit information and report under section 56 as of June 30, 2022 | Detail | |
01 Jul 2022 17:00:27 | mai | mai | Listed companies that fails to submit information and report under section 56 as of June 30, 2022 | Detail | |
01 Jul 2022 17:00:26 | SET | SET | SET adds new listed securities : PSL13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:26 | PLANB13C2211A | SET | SET adds new listed securities : PLANB13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:26 | SET | SET | SET adds new listed securities : PLANB13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:26 | PSL13C2211A | SET | SET adds new listed securities : PSL13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:25 | BAM13C2211A | SET | SET adds new listed securities : BAM13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:25 | SET | SET | SET adds new listed securities : BAM13C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:25 | TRUE19C2211A | SET | SET adds new listed securities : TRUE19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:25 | SET | SET | SET adds new listed securities : TRUE19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:24 | ADVANC19C2211B | SET | SET adds new listed securities : ADVANC19C2211B to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:24 | SET | SET | SET adds new listed securities : ADVANC19C2211B to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:23 | ORI19C2212A | SET | SET adds new listed securities : ORI19C2212A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:23 | SET | SET | SET adds new listed securities : ORI19C2212A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:23 | BTS19C2211A | SET | SET adds new listed securities : BTS19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:23 | SET | SET | SET adds new listed securities : BTS19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:22 | SET | SET | SET adds new listed securities : PSL19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:22 | PSL19C2211A | SET | SET adds new listed securities : PSL19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:21 | FORTH19C2211A | SET | SET adds new listed securities : FORTH19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:21 | SET | SET | SET adds new listed securities : FORTH19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:21 | TIPH19C2211A | SET | SET adds new listed securities : TIPH19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:21 | SET | SET | SET adds new listed securities : TIPH19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:20 | SET | SET | SET adds new listed securities : PSL08C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:20 | PSL08C2301A | SET | SET adds new listed securities : PSL08C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:19 | FORTH08C2301A | SET | SET adds new listed securities : FORTH08C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:19 | SET | SET | SET adds new listed securities : FORTH08C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:19 | TIPH01C2211A | SET | SET adds new listed securities : TIPH01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:19 | SET | SET | SET adds new listed securities : TIPH01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:18 | SET | SET | SET adds new listed securities : FORTH01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:18 | PSL01C2211A | SET | SET adds new listed securities : PSL01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:18 | SET | SET | SET adds new listed securities : PSL01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:18 | FORTH01C2211A | SET | SET adds new listed securities : FORTH01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:17 | SET | SET | SET adds new listed securities : TOP24C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:17 | PTTEP24C2211A | SET | SET adds new listed securities : PTTEP24C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:17 | SET | SET | SET adds new listed securities : PTTEP24C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:17 | TOP24C2211A | SET | SET adds new listed securities : TOP24C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:16 | AMATA19C2211A | SET | SET adds new listed securities : AMATA19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:16 | SET | SET | SET adds new listed securities : AMATA19C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:16 | TOP01C2211X | SET | SET adds new listed securities : TOP01C2211X to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:16 | SET | SET | SET adds new listed securities : TOP01C2211X to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:15 | MAJOR01C2211A | SET | SET adds new listed securities : MAJOR01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:15 | SET | SET | SET adds new listed securities : MAJOR01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:14 | KEX01C2211X | SET | SET adds new listed securities : KEX01C2211X to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:14 | SET | SET | SET adds new listed securities : KEX01C2211X to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:14 | VGI01C2212A | SET | SET adds new listed securities : VGI01C2212A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:14 | SET | SET | SET adds new listed securities : VGI01C2212A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:13 | THANI01C2211X | SET | SET adds new listed securities : THANI01C2211X to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:13 | SET | SET | SET adds new listed securities : THANI01C2211X to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:13 | KTC01P2211A | SET | SET adds new listed securities : KTC01P2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:13 | SET | SET | SET adds new listed securities : KTC01P2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:12 | ESSO01C2211A | SET | SET adds new listed securities : ESSO01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:12 | SET | SET | SET adds new listed securities : ESSO01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:12 | EA01C2211A | SET | SET adds new listed securities : EA01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:12 | SET | SET | SET adds new listed securities : EA01C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:11 | BCPG01C2212X | SET | SET adds new listed securities : BCPG01C2212X to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:11 | SET | SET | SET adds new listed securities : BCPG01C2212X to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:10 | RCL24C2211A | SET | SET adds new listed securities : RCL24C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:10 | SET | SET | SET adds new listed securities : RCL24C2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:10 | STGT28C2301A | SET | SET adds new listed securities : STGT28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:10 | SET | SET | SET adds new listed securities : STGT28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:09 | PTTEP28C2301A | SET | SET adds new listed securities : PTTEP28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:09 | SET | SET | SET adds new listed securities : PTTEP28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:09 | OSP28C2301A | SET | SET adds new listed securities : OSP28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:09 | SET | SET | SET adds new listed securities : OSP28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:08 | SET | SET | SET adds new listed securities : KTC28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:08 | KTC28C2301A | SET | SET adds new listed securities : KTC28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:07 | GULF28C2301A | SET | SET adds new listed securities : GULF28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:07 | SET | SET | SET adds new listed securities : GULF28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:07 | ADVANC28C2301A | SET | SET adds new listed securities : ADVANC28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:07 | SET | SET | SET adds new listed securities : ADVANC28C2301A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:06 | SET | SET | SET adds new listed securities : SET5028C2212C to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:06 | SET5028C2212C | SET | SET adds new listed securities : SET5028C2212C to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:05 | GEELY28P2212A | SET | SET adds new listed securities : GEELY28P2212A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:05 | SET | SET | SET adds new listed securities : GEELY28P2212A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:05 | BYDCOM28P2211A | SET | SET adds new listed securities : BYDCOM28P2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:05 | SET | SET | SET adds new listed securities : BYDCOM28P2211A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:04 | SET | SET | SET adds new listed securities : BYDCOM28C2212A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:04 | BYDCOM28C2212A | SET | SET adds new listed securities : BYDCOM28C2212A to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:03 | BABA28C2212B | SET | SET adds new listed securities : BABA28C2212B to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:03 | SET | SET | SET adds new listed securities : BABA28C2212B to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:02 | COM716C2211B | SET | SET adds new listed securities : COM716C2211B to be traded on July 4, 2022 | Detail | |
01 Jul 2022 17:00:02 | SET | SET | SET adds new listed securities : COM716C2211B to be traded on July 4, 2022 | Detail | |
01 Jul 2022 13:38:26 | THAI | THAI | Report on Thai Airways International Public Company Limited's filing of petition for plan amendment | Detail | |
01 Jul 2022 13:27:25 | IP | IP | Report on the results of the Exercise of IP-W1 (F53-5) | Detail | |
01 Jul 2022 13:14:32 | BDMS | BDMS | The delisting of the securities of Samitivej Public Company Limited from being securities listed on the Stock Exchange of Thailand and to make a tender offer for the delisting of securities.(additional info) | Detail | |
01 Jul 2022 13:13:02 | META | META | Notification of changes in the major shareholder structure (revised) | Detail | |
01 Jul 2022 13:12:46 | TM | TM | Asset disposition transaction in case of waiver of rights to purchase newly issued ordinary shares of TM Nursing Care Company Limited (Additional) | Detail | |
01 Jul 2022 13:02:52 | STOWER | STOWER | Report on the results of the Exercise of STOWER-W3 (F53-5) | Detail | |
01 Jul 2022 13:02:48 | SPRC | SPRC | Changing of Chief Accountant | Detail | |
01 Jul 2022 12:54:50 | SIRI | SIRI | Report on the results of the Exercise of ESOP # 8 (F53-5) | Detail | |
01 Jul 2022 12:50:41 | NINE | NINE | Notification on Receipt of Tender Offer for the Securities of Nation International Edutainment Public Company Limited (Form 247-4) | Detail | |
01 Jul 2022 12:48:16 | NVD | NVD | Report on the results of the sale of warrants offered to Existing common shareholders (F53-5) | Detail | |
01 Jul 2022 12:47:58 | NVD | NVD | Report on the results of the sale of warrants offered to Existing common shareholders (F53-5) | Detail | |
01 Jul 2022 12:45:40 | NVD | NVD | Changing of CFO | Detail | |
01 Jul 2022 12:45:21 | NVD | NVD | Notification of a Director and Chief Financial Officer Resignation | Detail | |
01 Jul 2022 12:41:45 | BC | BC | Report on the results of the Exercise of BC-W1 (F53-5) | Detail | |
01 Jul 2022 12:41:33 | BC | BC | Report on the results of the Exercise of BC-ESOP-W1 (F53-5) | Detail | |
01 Jul 2022 12:35:56 | TPIPL | TPIPL | Determination of the period for resale of the Company's repurchased shares under the share repurchase scheme for financial management purpose (Revise template ) | Detail | |
01 Jul 2022 12:35:49 | DOHOME | DOHOME | Report on the results of the Exercise of ESOP-W3 (F53-5) (Revised) | Detail | |
01 Jul 2022 12:33:51 | VGI | VGI | Submission of Tender Offer for the Securities of Nation International Edutainment Public Company Limited (Form 247-4) | Detail | |
01 Jul 2022 12:31:45 | BANPU | BANPU | Completion of the acquisition of XTO Barnett Shale in USA | Detail | |
01 Jul 2022 12:30:49 | BYD | BYD | Report on the results of the Exercise of BYD-W6 (F53-5) | Detail | |
01 Jul 2022 09:39:56 | GL | GL | To update on the complaint filed with Department of Special Investigation ("DSI") by J Trust Asia Pte. Ltd. ("JTA") against GL and 2 former GL directors | Detail | |
01 Jul 2022 09:25:39 | GL | GL | To update on the complaint filed with Department of Special Investigation ("DSI") by J Trust Asia Pte. Ltd. ("JTA") against GL and 2 former GL directors | Detail | |
01 Jul 2022 08:59:56 | SMK | SMK | Changing of Chief Accountant | Detail | |
01 Jul 2022 08:52:19 | TPIPL | TPIPL | Determination of the period for resale of the Company's repurchased shares under the share repurchase scheme for financial management purpose (Revise) | Detail | |
01 Jul 2022 08:50:48 | PJW | PJW | Notification the exercise of PJW-W1 | Detail | |
01 Jul 2022 08:47:38 | TVD | TVD | Information Memorandum | Detail | |
01 Jul 2022 08:47:11 | PORT | PORT | Report on the results of the Exercise of PORT-W2 (F53-5) | Detail | |
01 Jul 2022 08:46:17 | PORT | PORT | Report of the utilization of capital increase from RO | Detail | |
01 Jul 2022 08:43:16 | BMSCG | BMSCG | Notification of amendment of the Fund Scheme of BCAP Mid Small CG ETF | Detail | |
01 Jul 2022 08:42:39 | BSET100 | BSET100 | Notification of amendment of the Fund Scheme of BCAP SET100 ETF | Detail | |
01 Jul 2022 08:41:46 | BMSCITH | BMSCITH | Notification of amendment of the Fund Scheme of BCAP MSCI THAILAND ETF | Detail | |
01 Jul 2022 08:40:21 | SELIC | SELIC | Notification Information Memorandum of Asset Acquisition under schedule (2) | Detail | |
01 Jul 2022 08:35:16 | BYD | BYD | Notification of resolutions BOD 6/2022 regarding addition name of the specific investors, the acquisition of preferred shares in ACE Incorporation lending money to Thai Smile Bus which is an associate company and amendment to agenda of EGM1/2022 | Detail | |
01 Jul 2022 08:34:30 | TNDT | TNDT | Information Memorandum of TNDT-W1 | Detail | |
01 Jul 2022 08:31:48 | TNDT | mai | SET adds new listed securities : TNDT-W1 to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:31:48 | mai | mai | SET adds new listed securities : TNDT-W1 to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:31:35 | TVD | mai | SET adds new listed securities : TVD-W3 to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:31:35 | mai | mai | SET adds new listed securities : TVD-W3 to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:31:19 | mai | mai | New shares of GCAP to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:31:19 | GCAP | mai | New shares of GCAP to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:26:50 | mai | mai | Trading Suspension and termination of listing status of ALL-W1 | Detail | |
01 Jul 2022 08:26:50 | ALL | mai | Trading Suspension and termination of listing status of ALL-W1 | Detail | |
01 Jul 2022 08:24:24 | AQUA | AQUA | Acquisition of the ordinary shares in Thai Parcels Public Company Limited | Detail | |
01 Jul 2022 08:24:09 | IRCP | mai | New shares of IRCP to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:24:09 | mai | mai | New shares of IRCP to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:24:04 | 3K-BAT | 3K-BAT | Dissemination of Notice of the Annual General Meeting of Shareholders of the Company No. 2/2022 | Detail | |
01 Jul 2022 08:23:58 | NINE | mai | New shares of NINE to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:23:58 | mai | mai | New shares of NINE to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:23:34 | SET | SET | New shares of PERM to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:23:34 | UBIS | UBIS | Report on the results of the Exercise of UBIS-W1 (F53-5) | Detail | |
01 Jul 2022 08:23:34 | PERM | SET | New shares of PERM to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:22:02 | SET | SET | New shares of SDC to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:22:02 | SDC | SET | New shares of SDC to be traded on July 4, 2022 | Detail | |
01 Jul 2022 08:19:42 | NFC | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | MPIC | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | MATCH | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | MAKRO | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | LRH | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | KWI | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | SET | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | ROH | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | PTECH | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | PRINC | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | PRG | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | PMTA | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | UMS | mai | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | PICO | mai | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | mai | mai | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | GLAND | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | CIMBT | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | 3K-BAT | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | UOBKH | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | TFI | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | TCCC | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | SVH | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | SSC | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:19:42 | SPG | SET | List of companies not meeting free-float requirement for 2 years or more | Detail | |
01 Jul 2022 08:17:43 | CEN | CEN | Reporting Share Repurchase form for financial management purposes | Detail | |
01 Jul 2022 08:17:35 | TM | TM | Asset disposition transaction in case of waiver of rights to purchase newly issued ordinary shares of TM Nursing Care Company Limited | Detail | |
01 Jul 2022 08:12:37 | EBANK | EBANK | Unreviewed Half Year financial performance (F45) | Detail | |
01 Jul 2022 07:56:24 | PTTGC | PTTGC | Increasing the shareholding in Vencorex Holding | Detail | |
01 Jul 2022 07:40:36 | UV | UV | Granting the right of shareholders to propose agendas, nominate person to be elected as the Company's director and submit questions in advance for 2023 Annual General Meeting of Shareholders | Detail | |
01 Jul 2022 07:30:01 | DMT | DMT | Notification of the Resignation of the Company's Director | Detail | |
01 Jul 2022 07:00:01 | THAINVDR | THAINVDR | REPORT OF INVESTMENT IN SECURITIES AS OF CLOSING DATE | Detail | |
01 Jul 2022 07:00:01 | THAINVDR | THAINVDR | THAI NVDR COMPANY LIMITED ANNOUNCES MONTHLY INVESTMENT | Detail | |
01 Jul 2022 06:50:10 | GLD | GLD | Audited Yearly financial performance (F45) | Detail | |
01 Jul 2022 06:43:32 | TSD | TSD | BAM19C2211A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:31 | TSD | TSD | PLANB19C2211A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:31 | TSD | TSD | SIRI19C2302A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:30 | TSD | TSD | BPP19C2302A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:30 | TSD | TSD | RCL19C2211A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:29 | TSD | TSD | TVO19C2302A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:29 | TSD | TSD | RS19C2302A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:28 | TSD | TSD | KTC13P2211A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:28 | TSD | TSD | TVO13C2212A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:27 | TSD | TSD | SIRI13C2212A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:27 | TSD | TSD | BPP13C2212A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:26 | TSD | TSD | HANA13P2211A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:26 | TSD | TSD | RS13C2212A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:25 | TSD | TSD | SPX41C2209D : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:25 | TSD | TSD | DJI41P2209C : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:24 | TSD | TSD | DJI41C2209D : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:24 | TSD | TSD | NDX41C2209C : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:23 | TSD | TSD | NDX41P2209C : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:43:23 | TSD | TSD | TIDLOR41C2211A : APPOINTMENT OF THE SECURITIES REGISTRAR | Detail | |
01 Jul 2022 06:31:22 | SCC | SCC | Changing of CFO | Detail |
NAV
Date/Time | Symbol | Source | Headline | ||
---|---|---|---|---|---|
01 Jul 2022 20:28:55 | CHINA | CHINA | Report NAV | Detail | |
01 Jul 2022 20:28:31 | GLD | GLD | Report NAV | Detail | |
01 Jul 2022 20:28:06 | EBANK | EBANK | Report NAV | Detail | |
01 Jul 2022 20:27:27 | ENY | ENY | Report NAV | Detail | |
01 Jul 2022 19:59:02 | SCBSET | SCBSET | Report NAV 01/07/2022 | Detail | |
01 Jul 2022 19:43:47 | UHERO | UHERO | Report NAV As of 30 June 2022 | Detail | |
01 Jul 2022 19:09:13 | ABFTH | ABFTH | Report NAV as of 1 July 2022 | Detail | |
01 Jul 2022 18:39:06 | 1DIV | 1DIV | Report NAV 01/07/2022 | Detail | |
01 Jul 2022 18:38:45 | TDEX | TDEX | Report NAV 01/07/2022 | Detail | |
01 Jul 2022 18:28:51 | BMSCG | BMSCG | REPORT NET ASSET VALUE | Detail | |
01 Jul 2022 18:27:51 | BSET100 | BSET100 | REPORT NET ASSET VALUE | Detail | |
01 Jul 2022 18:26:40 | BMSCITH | BMSCITH | REPORT NET ASSET VALUE | Detail | |
01 Jul 2022 17:50:14 | ENGY | ENGY | Report NAV | Detail | |
01 Jul 2022 13:09:50 | MIPF | MIPF | Report NAV as of 31 May 2022 | Detail | |
01 Jul 2022 08:56:19 | LPF | LPF | Report NAV as at 31 MAY 2022 | Detail |
Remark

Investor Alert News is the sign meaning that there is an important information that shareholders and public investors should concern before making any voting or investing decisions.

Reprimand News is the sign meaning that the SET has publicly reprimanded the listed company for its breach of, or non-compliance with, the SET's rules and regulations.

Contract Adjustment (CA) is the TFEX news that announced the arrangements for the contract adjustment in accordance with the corporate action of the underlying stock.

PL is the TFEX news that announced the maximum number of futures or options contracts an investor is allowed to hold (Position Limit).