SET Announcements
10 August 2017
Details of Assets
27 July 2017
Report NAV As of 30 June,2017.
30 June 2017
Report NAV As of May 31,2017.
15 June 2017
The copy of the first 10 unitholder account list of KPNPF as of book closing date.
29 May 2017
Report NAV As of April 30,2017.
23 May 2017
Notification of the 16th dividend payment and book closing date of KPNPF
28 April 2017
Report NAV As of March 31,2017.
29 March 2017
Report NAV As of 28 February,2017.
13 March 2017
The copy of the first 10 unitholder account list of KPNPF as of book closing date.
01 March 2017
Management Discussion and Analysis Yearly Ending 31 Dec 2016 (Revise Template)
28 February 2017
Financial Statement Yearly 2016 (Audited)
28 February 2017