News Detail

Date/Time
08 Aug 2019 20:17:00
Headline
Notification of the Restricted Territories with respect to the subscription for the new investment units of DIF
Symbol
DIF
Source
DIF
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                Neither this notification nor any copy thereof may be released into or 
distributed directly or indirectly in the United States, the Restricted
Territories (as defined below) or in any other jurisdiction where such release
or distribution might be unlawful or to or for the account or benefit of U.S.
persons.

JorTor. 11-620261                                    8 August 2019

Re: Notification of the Restricted Territories with respect to the subscription 
for the new investment units of Digital Telecommunications Infrastructure Fund
(the "Fund" or "DIF")

To:    The President
The Stock Exchange of Thailand

We, SCB Asset Management Company Limited (the "Management Company") as the 
management company of DIF, refer to our notification to you of the allocation of
the new investment units of the Fund to the existing unitholders whose name
appears in the unitholder register book as at the date to determine the
unitholders entitled to subscribe for the new investment units (Record Date) in
proportion to their unitholding, but not to any unitholder if such allocation
constitutes or may constitute the violation of the law or any rules and
regulations of foreign jurisdictions by the Fund or the Management Company or
may result in the Management Company being subject to duties for any arrangement
in addition to those required under Thai law (referred to as the "Entitled
Existing Unitholders") and the rights ratio for the Entitled Existing
Unitholders to subscribe for the new investment units at 9.40 existing
investment units per 1 new investment unit, including the details of the XB
(Excluding Other Benefits) date for the determination of the Entitled Existing
Unitholders to subscribe for new investment units and the date of determination
of the Entitled Existing Unitholders to subscribe for the new investment units
(Record Date) as well as the offering price and the details of subscription
method for the new investment units of the Fund on 22 July 2019 and 25 July
2019, respectively.

In compliance with the resolution of the Extraordinary General Meeting of 
unitholders of the Fund No. 1/2019 held on 21 June 2019, the Management Company
would like to notify you of the information regarding the Restricted Territories
with respect to the subscription for the new investment units of the Fund
pursuant to which the allocation of the new investment units to the existing
unitholders who are citizen of or resident in such jurisdictions constitutes or
may constitute the violation of the law or any rules and regulations of those
jurisdictions by the Fund or the Management Company or may result in the
Management Company being subject to duties for any arrangement in addition to
those required under Thai law. In this regard, the Management Company shall not
send the subscription package for the new investment units to and shall not
allocate the new investment units to such existing unitholders. Details of which
 are as follows:
1.    Austria
2.    Bangladesh
3.    Belgium
4.    Brazil
5.    Cambodia
6.    Canada
7.    Denmark
8.    France
9.    Germany
10.    Greece
11.    Ireland
12.    Israel
13.    Italy
14.    Japan
15.    Jordan
16.    Laos
17.    Malaysia
18.    The Netherlands
19.    The People's Republic of China
20.    Russia
21.    South Africa
22.    Sweden
23.    Switzerland
24.    Taiwan
25.    Vietnam
26.    The United States
(collectively, the "Restricted Territories")

For more information, unitholders should study the details of allocation of the 
new investment units and the subscription method of the new investment units in
the document related to the subscription for new investment units to be
distributed and the prospectus. The Management Company submitted the prospectus
to the Securities and Exchange Commission of Thailand and has disseminated the
prospectus on its website at www.scbam.com since 5 August 2019.

The Management Company reserves the right to change the relevant details of the 
subscription and the allocation of the investment units, including the offering
price, portion or number of unit allocation as mentioned above as it deems
appropriate to ensure that the offering is successful, which will be published
through printed media and/or radio and/or television and at the office of the
Management Company and the Placement Agents as well as at www.scbam.com, www.
digital-tif.com and www.sec.or.th and Investment Advisory Division of the
Management Company at telephone no. 0-2777-7777press 0 and, then, press 6 (to
the extent practical).

This notification is for information purposes only and does not constitute an 
invitation or offer to acquire, purchase or subscribe for any securities.
Distribution of this notification into jurisdictions other than Thailand may be
restricted by law. Persons into whose possession this notification comes should
inform themselves of and observe any such restrictions. Any failure to comply
with these restrictions may constitute a violation of the securities laws of any
such jurisdiction for which neither the Fund nor the Management Company will
accept any liability.

This notification does not constitute or form a part of any offer or 
solicitation to purchase or subscribe for securities in the United States, the
Restricted Territories or to or for the account or benefit of U.S. persons. The
securities mentioned herein have not been, and will not be, registered under the
United States Securities Act of 1933 (the "US Securities Act"), and may not be
offered or sold in the United States or to or for the account or benefit of U.S.
persons unless registered under the US Securities Act, or pursuant to an
exemption from, or in a transaction not subject to, registration under the US
Securities Act. The Fund and the Management Company has no intention to register
under the US Securities Act any portion of the securities referred to herein or
to conduct a public offering of securities in the United States or any other
jurisdiction outside of Thailand.

The securities described herein will be sold in accordance with all applicable 
laws and regulations.

Please be informed accordingly.

Yours Faithfully,
Digital Telecommunications Infrastructure Fund
By SCB Asset Management Company


(Mrs. Tipaphan Puttarawigorm)
Executive Vice President, Property and Infrastructure Investment Group
______________________________________________________________________
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of the information and related documents of listed company or issuer to the
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clarification regarding this announcement, please directly contact listed
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