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08 May 2017 17:54:00
Report NAV As of March 31,2017.
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                Report NAVs

Subject                                  : Report NAV As of March 31,2017.
Fund name                                : AMATA B. GRIMM POWER POWER PLANT 
NAV as of                                : 31-Mar-2017
Net Assets Value (Baht)                  : 9.7282
Net Assets Value (Baht)                  : 5,836,956,207.99
Balance Units (Units)                    : 600,000,000.0000
Signature ___________________________
         (Mr.Worawit Supcharoenlert)

Authorized to sign on behalf of the company
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