SET Announcements
16 September 2022
Report NAV As of August 31,2022.
14 September 2022
The copy of the first 10 unitholder account list of KPN Property Fund as of book closing date.
23 August 2022
Notification of 3rd capital reducing and book closing date of KPNPF
23 August 2022
To notify no dividend payment for the operation period from April 1, 2022 to June 30, 2022 of KPNPF
23 August 2022
Report NAV As of July 31,2022.
11 August 2022
The amendment to the Fund Schemes of KPNPF
10 August 2022
Report NAV As of June 30,2022.
10 August 2022
Management Discussion and Analysis Quarter 2 Ending 30 Jun 2022
10 August 2022
Reviewed financial performance Quarter 2 (F45)
10 August 2022
Financial Statement Quarter 2/2022 (Reviewed)
09 August 2022
Details of Assets
12 July 2022