SET Announcements

Select Year :
14 February 2018
Report NAV as of 29 December 2017
14 December 2017
Report on the Transfer of Assets and Liabilities from CPN Retail Growth Leasehold Property Fund and Additional Investment After the Transfer
13 December 2017
Notification for the Announcement of Financial Statements, Net Asset Value, and Distribution of Returns (Amended)
13 December 2017
Notification of the Announcement of Financial Statements, Net Asset Value, and Distribution of Returns
13 December 2017
SET delists the Securities of CPNRF
13 December 2017
SET adds new listed securities 'CPNREIT' to be traded on Dec 14, 2017
04 December 2017
Notification of the Completion of the Conversion of CPNRF to CPNREIT and the Completion of Investment in Additional Assets No.1
30 November 2017
Notification of Establishment of CPN Retail Growth Leasehold Investment Trust (CPNREIT)
27 November 2017
Notification of Dissolution Plan of CPN Retail Growth Leasehold Property Fund
24 November 2017
SET suspends trading of 'CPNRF' from Nov 27, 2017 for conversion of Property Fund into REIT process
23 November 2017
Announcement of 25 Major Shareholders
23 November 2017
Notification the Approval of the Registration Statement of CPNREIT's units
23 November 2017
NAV announcement as of 31 October 2017
21 November 2017
Notification of Additional Information Appeared on the Registration Statement
15 November 2017
Notification of book closing date to suspend transfer of CPNRF's units for determining existing unitholders' entitlement to swap CPNREIT's units (XO-Swap)