Date/Time
21 Mar 2022 17:03:54
Headline
Report NAV as of 28 February 2022
Symbol
TU-PF
Source
TU-PF
Full Detailed News
Report on Net Assets Value (NAV) per unit
Subject : Report NAV as of 28 February 2022
Name : T.U. DOME RESIDENTIAL COMPLEX
LEASEHOLD PROPERTY FUND (TU-PF)
NAV as of : 28-Feb-2022
Net Assets Value (Baht per unit) : 1.4295
Net Assets Value (Baht) : 148,996,934.13
Total Assets Value (Baht) : 581,763,549.47
Balance Units (Units) : 104,229,800.0000
Authorized to sign on behalf of the : Mr.Prayad Tansuebchuasai,Ms.Yenruedee
Sorcharoensup
company
Position : Director,Director
______________________________________________________________________
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