Kasikorn Asset Management Co., Ltd. the management company of K Gold Fund-A(D) (K-GOLD-A(D)) would like to inform the dividend payments of the fund as follows :
Fund Name | Accounting Period | Dividend/Unit (Baht) | Payment Date |
K Gold Fund-A(D) (K-GOLD-A(D))
| July 1, 2025 to September 30, 2025 | 0.25
| October 14, 2025 |
The book closing date for the dividend payments will be on September 30, 2025.
Kasikorn Asset Management Co., Ltd.
October 1, 2025