Board Date | X-Date | Payment Date | Type | Payment per Unit (Baht) | Operation Period | Source of Payment |
---|---|---|---|---|---|---|
21/02/25 | 05/03/25 | 21/03/25 | Capital Reduction | 0.0600 | 01/10/24-31/12/24 | Capital Reduction |
14/11/24 | 26/11/24 | 13/12/24 | Cash Dividend | 0.0800 | 01/07/24-30/09/24 | Net profit |
14/08/24 | 26/08/24 | 12/09/24 | Cash Dividend | 0.0900 | 01/04/24-30/06/24 | Net profit and Retained Earnings |
15/05/24 | 27/05/24 | 13/06/24 | Cash Dividend | 0.1300 | 01/01/24-31/03/24 | Net profit |
28/02/24 | 11/03/24 | 28/03/24 | Cash Dividend and Capital Reduction | 0.1300 | 01/10/23-31/12/23 | Retained Earnings and Capital Reduction |
14/11/23 | 24/11/23 | 13/12/23 | Cash Dividend | 0.0800 | 01/07/23-30/09/23 | Net profit |
11/08/23 | 23/08/23 | 06/09/23 | Cash Dividend | 0.1300 | 01/04/23-30/06/23 | Net profit |
15/05/23 | 25/05/23 | 13/06/23 | Cash Dividend | 0.1500 | 01/01/23-31/03/23 | Net profit |
27/02/23 | 13/03/23 | 30/03/23 | Cash Dividend | 0.1400 | 01/10/22-31/12/22 | Net profit |
14/11/22 | 29/11/22 | 13/12/22 | Cash Dividend | 0.1200 | 01/07/22-30/09/22 | Net profit |
10/08/22 | 24/08/22 | 07/09/22 | Cash Dividend and Capital Reduction |
0.1200 | 01/04/22-30/06/22 | Net Profit and Capital Reduction |
13/05/22 | 25/05/22 | 10/06/22 | Capital Reduction | 0.1000 | 01/01/22-31/03/22 | Capital Reduction |
28/02/22 | 14/03/22 | 28/03/22 | Capital Reduction | 0.0700 | 01/10/21-31/12/21 | Capital Reduction |
15/11/21 | 29/11/21 | 13/12/21 | Cash Dividend | 0.0700 | 01/07/21-30/09/21 | Net Profit and Retained Earnings |
24/02/21 | 10/03/21 | 23/03/21 | Cash Dividend | 0.1273 | 01/10/20-31/12/20 | Net Profit and Retained Earnings |
11/11/20 | 25/11/20 | 09/12/20 | Cash Dividend | 0.1273 | 01/07/20-30/09/20 | Net Profit |
13/08/20 | 27/08/20 | 10/09/20 | Cash Dividend | 0.1000 | 01/04/20-30/06/20 | Net Profit |
13/05/20 | 27/05/20 | 10/06/20 | Cash Dividend | 0.2000 | 01/01/20-31/03/20 | Net Profit |
27/02/20 | 12/03/20 | 25/03/20 | Cash Dividend | 0.2000 | 01/10/19-31/12/19 | Net Profit |
12/11/19 | 25/11/19 | 06/12/19 | Cash Dividend | 0.1904 | 03/07/19-30/09/19 | Net Profit |