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NAV REPORT As at November 30, 2009

Back Dec 29, 2009

NAV REPORT As at November 30, 2009

Future Park Property Fund

Net Asset Value (Baht) = 4,942,336,305.46
NAV Per Unit (Baht) = 10.4419

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  • 2009-12-29_FUTUREPF_EN.pdf (Size: 8,780 bytes)