Companies/Securities in Focus
SRIPANWA : SRI PANWA HOSPITALITY REAL ESTATE INVESTMENT TRUST
Company Name
SRI PANWA HOSPITALITY REAL ESTATE INVESTMENT TRUST
Address
2922/198 10thFl., Charn Issara Tower II, New Petchburi Road, Bangkapi, Huay Kwang Bangkok
Telephone
0-2308-2022
Fax
0-2308-2022
Website
Asset Management Company
CHARN ISSARA REIT MANAGEMENT COMPANY LIMITED
Property Manager
-
Investment Policy
Investing in Freehold right of Sri panwa Hotel equipped with furniture and utilities. The hotel consist of plot of land with 27 rai and residence villa 39 units, hotel building with 30 rooms, serviced apartment 7 rooms and serviced buildings used in the hotel.
Annual Report
Form56-1
Financial Statement
|
Trading Statistics (as of 05 Mar 2021)
P/E
-
Dvd. Yield(%)
N.A.
P/NAV
0.66
Market Cap. (M. Baht)
2,218.56
|
Market
SET
Industry
Property & Construction
Sector
Property Fund & REITs
First Trade Date
23 Dec 2016
Capital Detail
Par Value
11.1004 Baht
Common Stock
Authorized Capital
3,097,722,025.60 Baht
Paid-up Capital
3,097,722,025.60 Baht
Preferred Stock
Authorized Capital
-
Paid-up Capital
-
Foreign Limit
49.00000 %
(as of 05/03/2021) ISIN Number
Local
TH7662010001
Foreign
TH7662010019
NVDR
-
Fiscal End
31/12
Company Auditor (Effective Until 31/12/2020)
The person taking the highest responsibility in finance and accounting
-
The person supervising accounting
-
|
Shares Detail
Common Stock
Listed Share
279,064,000 Shares
Paid-up Stock
279,064,000 Shares
Voting Right Ratio
1 : 1
Treasury Stock
-
Voting Stock minus Treasury Stock
as of 08 Mar 2021
279,064,000 Shares
as of 28 Feb 2021
279,064,000 Shares
Preferred Stock
Listed Share
-
Treasury Stock
-
Voting Stock minus Treasury Stock
as of 08 Mar 2021
-
as of 28 Feb 2021
-
|
Dividend Policy
At least once a year. However the REIT manager may consider paying special benefits in excess of the said benefit to unitholders as the REIT manager deems necessary and appropriate (with additional conditions)
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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.