SET Announcements
28 April 2022
Report NAV As of March 31,2022.
27 April 2022
Announcement in relation to the 2022 AGM of the Unitholders of KPNPF
22 April 2022
Notification of the schedule of the 2022 AGM of the Unitholders of KPNPF
07 April 2022
Dissemination of the Notice of the 2022 AGM of the Unitholders of KPNPF (Revised version) via electronic means on the Management Company's website
28 March 2022
Dissemination of the Notice of to the 2022 Annual General Meeting of the Unitholders of KPNPF via electronic means on the Management Company's website
24 March 2022
The copy of the first 10 unitholder account list of KPNPF as of book closing date.
21 March 2022
Report NAV As of February 28,2022.
03 March 2022
To notify no dividend payment of KPN Property Fund (KPNPF) (Revised)
03 March 2022
To notify no dividend payment of KPN Property Fund (KPNPF)
02 March 2022
Notification of 1st capital reducing and book closing date of KPNPF
23 February 2022
Management Discussion and Analysis Yearly Ending 31 Dec 2021
23 February 2022