8/2/2021

​Announcement Concerning Dividend Payment of Mutual Fund of K-VALUE

              Kasikorn Asset Management Co., Ltd. the management company of K Valued Stock Fund      (K-VALUE) would like to inform the dividend payment of the fund as follows:

 

Fund NameAccounting Period          Dividend Announcement
K Valued Stock Fund (K-VALUE)

1 February 2021 to

31 July 2021

                       No Dividend

 

              The book closing date for the dividend payments will be on August 2, 2021

 

Kasikorn Asset Management Co., Ltd.

August 2, 2021


Yes
8/2/2021