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Today Financial Reporting News
28 Nov 2014
Time   Symbol Headline File Type
13:16:09   AOT Financial Statement Yearly 2014 ZIP
28 Nov 2014
Time   Symbol Headline  
22:23:37   AJD Clarification regarding the additional shares through a private placement at a low price Detail
21:25:48   AJD Warrant(AJD-W2),Adjustment (AJD-W1),Increasing capital,Schedule of EGM No.1/2015 Detail
21:22:02   S Information Memorandum Regarding Acquisition of Assets Detail
21:21:22   S The Establishment of New Subsidiary Detail
21:12:28   NPP Report on the results of the exercise of warrants (NPP-W1) No.6 Detail
20:21:21   TTL BOD's resolution : Transfer of general reserve, dividend payment, notice of 2014 AGM Detail
20:04:49   TTL Audited Yearly F/S (F45-2) Detail
20:03:46   KG965 Reasons for Over 20% Increase in K GOLD ETF Fund's Earnings for yearly-ending September 30,2014 Detail
20:02:57   TTL Business Performance for the company Fiscal Year 2014 Detail
19:52:12   CSC Conversion of preferred shares into ordinary shares Detail
19:50:15   NPP Clarification ofTrading Alert Detail
19:45:31   TTL Reviewed Quarter 3 F/S (F45-2) Revised Detail
19:45:04   TTL Submission of Financial Statement for the 3 rd Quarter (Restated) Detail
18:59:52   AQUA Report on the results of the sale of securities (F53-5) Detail
18:49:00   WORLD Adjustment of the unit for warrant Detail
18:38:39   VGI01P1411A Settlement Price and Net Cash Settlement of VGI01P1411A Detail
18:38:26   VGI01C1411A Settlement Price and Net Cash Settlement of VGI01C1411A Detail
18:38:14   TMB01P1411A Settlement Price and Net Cash Settlement of TMB01P1411A Detail
18:38:00   TMB01C1411A Settlement Price and Net Cash Settlement of TMB01C1411A Detail
18:37:47   THCO01P1411A Settlement Price and Net Cash Settlement of THCO01P1411A Detail
18:37:33   THCO01C1411A Settlement Price and Net Cash Settlement of THCO01C1411A Detail
18:37:19   TCAP01P1411A Settlement Price and Net Cash Settlement of TCAP01P1411A Detail
18:37:06   TCAP01C1411A Settlement Price and Net Cash Settlement of TCAP01C1411A Detail
18:36:53   SCC01P1411A Settlement Price and Net Cash Settlement of SCC01P1411A Detail
18:36:41   SCC01C1411A Settlement Price and Net Cash Settlement of SCC01C1411A Detail
18:36:27   S5001P1411A Settlement Price and Net Cash Settlement of S5001P1411A Detail
18:36:12   S5001C1411A Settlement Price and Net Cash Settlement of S5001C1411A Detail
18:36:00   QH01P1411A Settlement Price and Net Cash Settlement of QH01P1411A Detail
18:35:46   QH01C1411A Settlement Price and Net Cash Settlement of QH01C1411A Detail
18:35:34   PTTG01P1411A Settlement Price and Net Cash Settlement of PTTG01P1411A Detail
18:35:14   PTTG01C1411A Settlement Price and Net Cash Settlement of PTTG01C1411A Detail
18:35:02   HEMR01P1411A Settlement Price and Net Cash Settlement of HEMR01P1411A Detail
18:34:47   HEMR01C1411A Settlement Price and Net Cash Settlement of HEMR01C1411A Detail
18:34:32   BLAN01P1411A Settlement Price and Net Cash Settlement of BLAN01P1411A Detail
18:34:19   BLAN01C1411A Settlement Price and Net Cash Settlement of BLAN01C1411A Detail
18:34:06   BH01C1411A Settlement Price and Net Cash Settlement of BH01C1411A Detail
18:33:52   BGH01P1411A Settlement Price and Net Cash Settlement of BGH01P1411A Detail
18:33:36   BGH01C1411A Settlement Price and Net Cash Settlement of BGH01C1411A Detail
18:31:03   M-AAA Summary disposal of MFC Amazing A-la Andaman Property Fund (M-AAA) Detail
18:25:39   TPIPL Connected Transaction Detail
18:22:38   GEL Notification of the Company's Holidays for the year 2015 Detail
18:16:50   TUF11C1411A Settlement Price and Net Cash Settlement of TUF11C1411A Detail
18:16:44   WORLD Resolutions of the AGM of Shareholders Year 2014 Detail
18:15:44   TTA11C1411A Settlement Price and Net Cash Settlement of TTA11C1411A Detail
18:15:29   AOT06C1411A Settlement Price and Net Cash Settlement of AOT06C1411A Detail
18:14:41   THCO11C1411A Settlement Price and Net Cash Settlement of THCO11C1411A Detail
18:12:38   PTTG11C1411A Settlement Price and Net Cash Settlement of PTTG11C1411A Detail
18:11:50   PS11C1411A Settlement Price and Net Cash Settlement of PS11C1411A Detail
18:10:56   KTB11C1411A Settlement Price and Net Cash Settlement of KTB11C1411A Detail
18:10:09   BGH11C1411A Settlement Price and Net Cash Settlement of BGH11C1411A Detail
17:55:30   S5013C1412A Report on the Distribution of S5013C1412A Detail
17:53:05   NBC Clarification of Trading Alert List Detail
17:49:16   NUSA Issuance and Offering for Sale of Convertible Debentures Sub Tranche 8-10 of Tranche No.1 Detail
17:39:19   JSP The Public Holidays for 2015 Detail
17:38:16   EE Resolutions of the No.1 /2014 Extraordinary Shareholders Meeting Detail
17:29:02   ANAN Resignation of Chairman of the Executive Committee Detail
17:28:01   VTE Annual Holidays for the Year 2015 Detail
17:26:53   LIT Company Holidays. Detail
17:26:25   BJC Report on the results of the exercise of the ESOP Warrants (F53-5) Detail
17:25:20   GBX List of securities required to be traded in Cash Balance A/C Detail
17:25:20   ITD List of securities required to be traded in Cash Balance A/C Detail
17:25:20   MLINK List of securities required to be traded in Cash Balance A/C Detail
17:25:20   PE List of securities required to be traded in Cash Balance A/C Detail
17:25:20   SET List of securities required to be traded in Cash Balance A/C Detail
17:25:20   SLC List of securities required to be traded in Cash Balance A/C Detail
17:25:20   TFD List of securities required to be traded in Cash Balance A/C Detail
17:25:20   TIES List of securities required to be traded in Cash Balance A/C Detail
17:25:20   mai List of securities required to be traded in Cash Balance A/C Detail
17:25:20   ACD List of securities required to be traded in Cash Balance A/C Detail
17:25:20   AJD List of securities required to be traded in Cash Balance A/C Detail
17:25:20   CGD List of securities required to be traded in Cash Balance A/C Detail
17:25:20   CYBER List of securities required to be traded in Cash Balance A/C Detail
17:23:44   RICH Holiday in Year 2015 Detail
17:17:48   BA Management Discussion and Analysis Quarter 3 Ending 30-Sep-2014 (revised) Detail
17:14:54   SCB The Exercise date for conversion of preferred shares into ordinary shares Detail
17:13:38   NBC Trading Alert List Information Detail
17:13:38   NPP Trading Alert List Information Detail
17:13:38   SET Trading Alert List Information Detail
17:13:38   mai Trading Alert List Information Detail
17:13:05   MILL Notification of the Subscription Entitlement for Capital Increase Ordinary Shares (Additional) Detail
17:12:59   FMT Furukawa Metal (Thailand) Public Company Limited announces do not pay interim dividend in 2014. Detail
17:12:15   PG Announcement of Company Holidays for the year 2015 Detail
17:10:01   EMC The Exercise of Warrants to Purchase Ordinary Shares of EMC Public Company Limited EMC-W4 (No.2) Detail
17:08:27   PTT13P1501A Report on the Distribution of PTT13P1501A Detail
17:08:06   METCO Notification BOD's meeting resolution to renewal loan to Muramoto Asia Pte Ltd. Detail
17:07:32   TIES Change of Shareholding Structure Detail
17:05:27   EMC Notify the Adjustment of Exercise Price and Ratio of Warrants to Purchase Ordinary shares EMC-W4 Detail
17:03:14   SST Acquisition of Premium Bakery Cafe' Brand COVA in Thailand Detail
17:00:33   S5013P1412A Report on the Distribution of S5013P1412A Detail
14:07:14   SET SP signs posted on AJD Detail
14:07:14   AJD SP signs posted on AJD Detail
14:06:55   THAI Report on Names of Member and Scope of Work of the Audit Committee Detail
13:17:06   AOT A decrease in operating performance more than 20% of the year ended September 30th, 2014 Detail
13:16:32   AOT Management Discussion and Analysis Yearly Ending 30-Sep-2014 Detail
13:15:37   MCS Sold 45% of shares in Associated company Detail
13:15:15   AOT Audited Yearly and Consolidated F/S (F45-3) Detail
13:06:53   PICO Traditional holidays for the year 2015 Detail
12:55:08   TNL Notification on change of shareholding proportion of the invested companies (revised) Detail
12:41:35   GRAMMY Notification on Revision of Investment Percentage in the Company's Subsidiaries Detail
12:41:06   GRAMMY Notification of the Dissolution of the Company's Subsidiary Detail
12:39:59   SIRI Notification for the 12th exercise of the Warrants pursuant to SIRI-W1 (for the period of Dec 2014) Detail
12:37:33   AHC Opportunity for Shareholders to Propose Agendas in the AGM And to nominate condidates as director Detail
12:33:52   TSTE Proposal of the 2015 AGM's agenda and qualified candidate to be nominated as company's director Detail
12:32:50   ACAP Publication of the invitation to 1/2014 EGM on the Company's website Detail
12:31:05   WP Notification of Allocation of the Company's shares to Picnic Corp.PLC and World Gas (Thailand)Co.Ltd Detail
12:30:15   VTE Extension of sending financial statement for the year 2013,quarter 1 and quarter2 of year 2014 Detail

28 Nov 2014
Time   Symbol Headline  
20:51:55   CHINA Report NAV Detail
20:50:55   GLD Report NAV Detail
20:49:26   HK Report NAV Detail
20:48:02   EBANK Report NAV Detail
20:47:07   ESET50 Report NAV Detail
20:46:18   ENY Report NAV Detail
20:45:15   EICT Report NAV Detail
20:43:35   EFOOD Report NAV Detail
20:42:33   ECOMM Report NAV Detail
20:35:39   SCBSET Report NAV 28/11/2014 Detail
20:06:20   ABFTH Report NAV as of 28 November 2014 Detail
20:04:52   KG965 Report NAV as of 28 November 2014 Detail
19:51:36   SSPF Report NAV as of 31 October 2014 Detail
19:16:53   TU-PF Report NAV as of 31 October 2014 Detail
19:05:13   1DIV Report NAV 28/11/2014 Detail
19:03:33   TDEX Report NAV 28/11/2014 Detail
19:02:34   GOLD99 Report NAV 28/11/2014 Detail
19:00:44   TH100 Report NAV 28/11/2014 Detail
18:38:25   TGOLDETF Report NAV as of 28 November 2014 Detail
18:36:30   CTARAF Report NAV As of October 31,2014. Detail
18:29:35   BCHAY REPORT NET ASSET VALUE AS AT 28 NOVEMBER 2014 Detail
18:00:36   ENGY Report NAV Detail
17:16:31   MIPF Report NAV as of 31 October 2014 Detail
13:02:42   BKKCP Report NAV as of 31 October 2014 Detail
12:46:53   UNIPF Report NAV as of 31 October 2014 Detail
12:31:22   TIF1 Net Asset Value As Of 31 October 2014 Detail
12:30:06   SSTSS Net Asset Value As Of 31 October 2014 SUBSRITHAI SMART STORAGE PROPERTY FUND 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).
 
     
 
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