SET Announcements
By Year : Latest | All |
2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012
- 15 May 2025
- Details of Asset
- 14 May 2025
- Reviewed financial performance Quarter 1 (F45)
- 14 May 2025
- Financial Statement Quarter 1/2025 (Reviewed)
- 13 May 2025
- NAV announcement as of 31 March, 2025
- 21 Mar 2025
- The 8th capital reduction of the registered capital of CPN Commercial Growth Leasehold Property Fund (CPNCG)
- 28 Feb 2025
- Financial Statement Yearly 2024 (Audited)
- 28 Feb 2025
- Audited Yearly financial performance (F45)
- 17 Feb 2025
- Notification of the 2025 Two-way Communication
- 13 Feb 2025
- Details of Asset
- 13 Feb 2025
- NAV announcement as of 31 December, 2024
- 18 Dec 2024
- The 7th capital reduction of the registered capital of CPN Commercial Growth Leasehold Property Fund (CPNCG)
- 14 Nov 2024
- Details of Asset
- 13 Nov 2024
- Reviewed financial performance Quarter 3 (F45)
- 13 Nov 2024
- Financial Statement Quarter 3/2024 (Reviewed)
- 12 Nov 2024
- NAV announcement as of 30 September, 2024
- 18 Sep 2024
- The 6th capital reduction of the registered capital of CPN Commercial Growth Leasehold Property Fund
- 14 Aug 2024
- Details of Asset
- 13 Aug 2024
- Reviewed financial performance Quarter 2 (F45)
- 13 Aug 2024
- Financial Statement Quarter 2/2024 (Reviewed)
- 09 Aug 2024
- NAV announcement as of 30 June, 2024
- 20 Jun 2024
- The 5th capital reduction of the registered capital of CPN Commercial Growth Leasehold Property Fund (CPNCG)
- 15 May 2024
- Details of Asset
- 14 May 2024
- Reviewed financial performance Quarter 1 (F45)
- 14 May 2024
- Financial Statement Quarter 1/2024 (Reviewed)
- 13 May 2024
- NAV announcement as of 31 March, 2024
- 21 Mar 2024
- The 4th capital reduction of the registered capital of CPN Commercial Growth Leasehold Property Fund (CPNCG)
- 28 Feb 2024
- Audited Yearly financial performance (F45)
- 28 Feb 2024
- Financial Statement Yearly 2023 (Audited)
- 15 Feb 2024
- Notification of the 2024 Two-way Communication
- 13 Feb 2024
- Details of Asset
- 12 Feb 2024
- NAV announcement as of 31 December, 2023
- 26 Jan 2024
- Notification the change of the arrangement the 2024 Meeting of Unitholders to the Two-way communication
- 27 Dec 2023
- Invitation to Unitholders to propose agenda, questions prior to the 2024 Meeting of Unitholders of The Fund
- 25 Dec 2023
- The 3rd capital reduction of the registered capital of CPN Commercial Growth Leasehold Property Fund (CPNCG)
- 29 Nov 2023
- Announcement of 10 Major Shareholders
- 14 Nov 2023
- Details of Asset
- 13 Nov 2023
- Reviewed financial performance Quarter 3 (F45)
- 13 Nov 2023
- Financial Statement Quarter 3/2023 (Reviewed)
- 09 Nov 2023
- NAV announcement as of 30 September, 2023
- 14 Sep 2023
- The 2nd capital reduction of the registered capital of CPN Commercial Growth Leasehold Property Fund (CPNCG)
- 29 Aug 2023
- Announcement of 10 Major Shareholders
- 11 Aug 2023
- Reviewed financial performance Quarter 2 (F45)
- 11 Aug 2023
- Financial Statement Quarter 2/2023 (Reviewed)
- 11 Aug 2023
- NAV announcement as of 30 June, 2023
- 11 Aug 2023
- Details of Asset
- 21 Jun 2023
- The 1th capital reduction of the registered capital of CPN Commercial Growth Leasehold Property Fund (CPNCG)
- 30 May 2023
- Announcement of 10 Major Shareholders
- 15 May 2023
- Details of Asset
- 12 May 2023
- Reviewed financial performance Quarter 1 (F45)
- 12 May 2023
- Financial Statement Quarter 1/2023 (Reviewed)
- 12 May 2023
- NAV announcement as of 31 March, 2023
- 21 Apr 2023
- Notification of the resolution of Annual General Meeting of Unitholders for the year 2023
- 31 Mar 2023
- Dissemination of the invitation to the Annual General Meeting of Unitholders for the year 2023
- 14 Mar 2023
- Announcement of 10 Major Shareholders
- 27 Feb 2023
- Announcement of 10 Major Shareholders
- 20 Feb 2023
- Audited Yearly financial performance (F45)
- 20 Feb 2023
- Financial Statement Yearly 2022 (Audited)
- 13 Feb 2023
- Details of Asset
- 13 Feb 2023
- NAV announcement as of 31 December, 2022
- 01 Feb 2023
- Announces dividend payment CPNCG Q4/2022
- 28 Nov 2022
- Announcement of 10 Major Shareholders
- 14 Nov 2022
- Details of Asset
- 11 Nov 2022
- Reviewed financial performance Quarter 3 (F45)
- 11 Nov 2022
- Financial Statement Quarter 3/2022 (Reviewed)
- 11 Nov 2022
- NAV announcement as of 30 September, 2022
- 02 Nov 2022
- Announces dividend payment CPNCG Q3/2022
- 31 Aug 2022
- Announcement of 10 Major Shareholders
- 11 Aug 2022
- Reviewed financial performance Quarter 2 (F45)
- 11 Aug 2022
- Financial Statement Quarter 2/2022 (Reviewed)
- 11 Aug 2022
- NAV announcement as of 30 June, 2022
- 11 Aug 2022
- Details of Asset
- 03 Aug 2022
- Announces dividend payment CPNCG Q2/2022
- 01 Jun 2022
- Announcement of 10 Major Shareholders
- 13 May 2022
- NAV announcement as of 31 March, 2022
- 13 May 2022
- Reviewed financial performance Quarter 1 (F45)
- 13 May 2022
- Financial Statement Quarter 1/2022 (Reviewed)
- 13 May 2022
- Details of Asset
- 06 May 2022
- Announces dividend payment CPNCG Q1/2022
- 21 Apr 2022
- Notification of the resolution of Annual General Meeting of Unitholders for the year 2022
- 31 Mar 2022
- Dissemination of the invitation to the Annual General Meeting of Unitholders for the year 2022
- 15 Mar 2022
- Announcement of 10 Major Shareholders
- 25 Feb 2022
- Announcement of 10 Major Shareholders
- 25 Feb 2022
- Audited Yearly financial performance (F45)
- 25 Feb 2022
- Financial Statement Yearly 2021 (Audited)
- 15 Feb 2022
- NAV announcement as of 31 December, 2021
- 11 Feb 2022
- Details of Asset
- 02 Feb 2022
- Announces dividend payment CPNCG Q4/2021
- 26 Nov 2021
- Announcement of 10 Major Shareholders
- 12 Nov 2021
- Details of Asset
- 12 Nov 2021
- Reviewed financial performance Quarter 3 (F45)
- 12 Nov 2021
- Financial Statement Quarter 3/2021 (Reviewed)
- 12 Nov 2021
- NAV announcement as of 30 September, 2021
- 03 Nov 2021
- Announces dividend payment CPNCG Q3/2021
- 25 Aug 2021
- Announcement of 10 Major Shareholders
- 13 Aug 2021
- Details of Asset
- 13 Aug 2021
- Reviewed financial performance Quarter 2 (F45)
- 13 Aug 2021
- Financial Statement Quarter 2/2021 (Reviewed)
- 13 Aug 2021
- NAV announcement as of 30 June, 2021
- 29 Jul 2021
- Announces dividend payment CPNCG Q2/2021
- 25 May 2021
- Announcement of 10 Major Shareholders
- 14 May 2021
- Details of Asset
- 14 May 2021
- NAV announcement as of 31 March, 2021
- 14 May 2021
- Reviewed financial performance Quarter 1 (F45)
- 14 May 2021
- Financial Statement Quarter 1/2021 (Reviewed)
- 05 May 2021
- Announces dividend payment CPNCG Q1/2021
- 23 Apr 2021
- Appointment of the Auditor for the year 2021
- 15 Mar 2021
- Announcement of 10 Major Shareholders
- 01 Mar 2021
- Announcement of 10 Major Shareholders
- 01 Mar 2021
- Audited Yearly financial performance (F45)
- 01 Mar 2021
- Financial Statement Yearly 2020 (Audited)
- 11 Feb 2021
- Details of Asset
- 11 Feb 2021
- NAV announcement as of 31 December, 2020
- 03 Feb 2021
- Announces dividend payment CPNCG Q4/2020
- 25 Nov 2020
- Announcement of 10 Major Shareholders
- 13 Nov 2020
- Details of Asset
- 13 Nov 2020
- Reviewed financial performance Quarter 3 (F45)
- 13 Nov 2020
- Financial Statement Quarter 3/2020 (Reviewed)
- 13 Nov 2020
- NAV announcement as of 30 September, 2020
- 04 Nov 2020
- Announces dividend payment CPNCG Q3/2020
- 28 Aug 2020
- Announcement of 10 Major Shareholders
- 14 Aug 2020
- Reviewed financial performance Quarter 2 (F45)
- 14 Aug 2020
- Financial Statement Quarter 2/2020 (Reviewed)
- 14 Aug 2020
- NAV announcement as of 30 June, 2020
- 13 Aug 2020
- Details of Asset
- 31 Jul 2020
- Announces dividend payment CPNCG Q2/2020
- 02 Jun 2020
- Announcement of 10 Major Shareholders
- 25 May 2020
- The Notification of the Change of the Fund's Auditor CPN Commercial Growth Leasehold Property Fund
- 15 May 2020
- Reviewed financial performance Quarter 1 (F45)
- 15 May 2020
- Financial Statement Quarter 1/2020 (Reviewed)
- 15 May 2020
- Details of Asset
- 14 May 2020
- NAV announcement as of 31 March, 2020
- 07 May 2020
- Announces dividend payment CPNCG Q1/2020
- 13 Mar 2020
- Announcement of 10 Major Shareholders
- 28 Feb 2020
- Audited Yearly financial performance (F45)
- 28 Feb 2020
- Financial Statement Yearly 2019 (Audited)
- 27 Feb 2020
- Announcement of 10 Major Shareholders
- 13 Feb 2020
- Details of Asset
- 30 Jan 2020
- Announces dividend payment CPNCG Q4/2019
- 28 Jan 2020
- NAV announcement as of 31 December, 2019
- 27 Dec 2019
- NAV announcement as of 30 November, 2019
- 02 Dec 2019
- Announcement of 10 Major Shareholders
- 28 Nov 2019
- NAV announcement as of 31 October, 2019
- 14 Nov 2019
- Details of Assets of CPNCG
- 13 Nov 2019
- Reviewed financial performance Quarter 3 (F45)
- 13 Nov 2019
- Financial Statement Quarter 3/2019 (Reviewed)
- 30 Oct 2019
- NAV announcement as of 30 September, 2019
- 27 Sep 2019
- NAV announcement as of 31 August, 2019
- 29 Aug 2019
- NAV announcement as of 31 July, 2019
- 14 Aug 2019
- Details of Assets of CPNCG
- 14 Aug 2019
- Announcement of 10 Major Shareholders
- 13 Aug 2019
- Financial Statement Quarter 2/2019 (Reviewed)
- 13 Aug 2019
- Reviewed Quarter 2 F/S (F45-1)
- 25 Jul 2019
- NAV announcement as of 30 June, 2019
- 27 Jun 2019
- NAV announcement as of 31 May, 2019
- 31 May 2019
- Announcement of 10 Major Unitholders of CPNCG for the Determined Date as of May 21, 2019
- 30 May 2019
- NAV announcement as of 30 April, 2019
- 14 May 2019
- Details of Assets of CPNCG
- 14 May 2019
- Reviewed Quarter 1 F/S (F45-1)
- 14 May 2019
- Financial Statement Quarter 1/2019 (Reviewed)
- 07 May 2019
- Announces dividend payment Q1/2019
- 30 Apr 2019
- NAV announcement as of 31 March, 2019
- 27 Mar 2019
- Announcement of 10 Major Unitholders of CPNCG for the Determined Date as of March 14, 2019
- 26 Mar 2019
- NAV announcement as of 28 February, 2019
- 26 Feb 2019
- Audited Yearly F/S (F45-1)
- 26 Feb 2019
- Financial Statement Yearly 2018 (Audited)
- 26 Feb 2019
- NAV announcement as of 31 January, 2019
- 20 Feb 2019
- Announcement of 10 Major Shareholders
- 13 Feb 2019
- Details of Assets of CPNCG
- 31 Jan 2019
- Announces dividend payment Q4/2018
- 29 Jan 2019
- NAV announcement as of 31 December, 2018
- 26 Dec 2018
- NAV announcement as of 30 November, 2018
- 04 Dec 2018
- NAV announcement as of 31 October, 2018
- 28 Nov 2018
- Announcement of 10 Major Shareholders
- 14 Nov 2018
- Details of Assets of CPNCG
- 13 Nov 2018
- Reviewed Quarter 3 F/S (F45-1)
- 13 Nov 2018
- Financial Statement Quarter 3/2018 (Reviewed)
- 07 Nov 2018
- Announces dividend payment Q3/2018
- 30 Oct 2018
- NAV announcement as of 30 September, 2018
- 25 Sep 2018
- NAV announcement as of 31 August, 2018
- 28 Aug 2018
- NAV announcement as of 31 July, 2018
- 15 Aug 2018
- Announcement of 10 Major Shareholders
- 14 Aug 2018
- Financial Statement Quarter 2/2018 (Reviewed)
- 14 Aug 2018
- Reviewed Quarter 2 F/S (F45-1)
- 10 Aug 2018
- Details of Assets of CPNCG
- 10 Aug 2018
- Resignation of Investment Committee Member
- 24 Jul 2018
- Announces dividend payment Q2/2018
- 24 Jul 2018
- NAV announcement as of 30 June, 2018
- 26 Jun 2018
- NAV announcement as of 31 May, 2018
- 25 May 2018
- NAV announcement as of 30 April, 2018
- 25 May 2018
- Announcement of 10 Major Shareholders
- 14 May 2018
- Reviewed Quarter 1 F/S (F45-1)
- 14 May 2018
- Financial Statement Quarter 1/2018 (Reviewed)
- 11 May 2018
- Details of Assets of CPNCG
- 03 May 2018
- Announces dividend payment Q1/2018
- 27 Apr 2018
- NAV announcement as of 31 March, 2018
- 28 Mar 2018
- NAV announcement as of 28 February, 2018
- 28 Feb 2018
- NAV announcement as of 31 January, 2018
- 27 Feb 2018
- Financial Statement Yearly 2017 (Audited)
- 27 Feb 2018
- Audited Yearly F/S (F45-1)
- 26 Feb 2018
- Announcement of 10 Major Shareholders
- 09 Feb 2018
- Details of Assets of CPNCG
- 02 Feb 2018
- Announces dividend payment Q4/2017
- 30 Jan 2018
- NAV announcement as of 31 December, 2017
- 26 Dec 2017
- NAV announcement as of 30 November, 2017
- 27 Nov 2017
- NAV announcement as of 31 October, 2017
- 23 Nov 2017
- Announcement of 10 Major Shareholders
- 14 Nov 2017
- Details of Assets of CPNCG
- 14 Nov 2017
- Reviewed Quarter 3 F/S (F45-1)
- 14 Nov 2017
- Financial Statement Quarter 3/2017 (Reviewed)
- 31 Oct 2017
- Announces dividend payment Q3/2017
- 31 Oct 2017
- NAV announcement as of 30 September, 2017
- 28 Sep 2017
- NAV announcement as of 31 August, 2017
- 29 Aug 2017
- Announcement of 10 Major Shareholders
- 29 Aug 2017
- NAV announcement as of 31 July, 2017
- 11 Aug 2017
- Reviewed Quarter 2 F/S (F45-1)
- 11 Aug 2017
- Financial Statement Quarter 2/2017 (Reviewed)
- 02 Aug 2017
- Details of Assets of CPNCG
- 02 Aug 2017
- Announces dividend payment Q2/2017
- 27 Jul 2017
- NAV announcement as of 30 June, 2017
- 28 Jun 2017
- NAV announcement as of 31 May, 2017
- 29 May 2017
- Announcement of 10 Major Shareholders
- 25 May 2017
- NAV announcement as of 30 April, 2017
- 12 May 2017
- Financial Statement Quarter 1/2017 (Reviewed)
- 12 May 2017
- Reviewed Quarter 1 F/S (F45-1)
- 12 May 2017
- Details of Assets of CPNCG
- 03 May 2017
- Announces dividend payment Q1/2017
- 28 Apr 2017
- NAV announcement as of 31 March, 2017
- 28 Mar 2017
- NAV announcement as of 28 February, 2017
- 28 Feb 2017
- Audited Yearly F/S (F45-1)
- 28 Feb 2017
- Financial Statement Yearly 2016 (Audited)
- 27 Feb 2017
- NAV announcement as of 31 January, 2017
- 20 Feb 2017
- Announcement of 10 Major Shareholders
- 07 Feb 2017
- Details of Assets of CPNCG
- 30 Jan 2017
- NAV announcement as of 31 December, 2016
- 24 Jan 2017
- Announces dividend payment Q4/2016
- 27 Dec 2016
- NAV announcement as of 30 November, 2016
- 25 Nov 2016
- NAV announcement as of 31 October, 2016
- 23 Nov 2016
- Announcement of 10 Major Shareholders
- 11 Nov 2016
- Reviewed Quarter 3 F/S (F45-1)
- 11 Nov 2016
- Financial Statement Quarter 3/2016
- 11 Nov 2016
- Details of Assets of CPNCG
- 01 Nov 2016
- Announces dividend payment Q3/2016
- 27 Oct 2016
- NAV announcement as of 30 September, 2016
- 29 Sep 2016
- NAV announcement as of 31 August, 2016
- 26 Aug 2016
- NAV announcement as of 31 Jul, 2016
- 17 Aug 2016
- Announcement of 10 Major Shareholders
- 11 Aug 2016
- Reviewed Quarter 2 F/S (F45-1)
- 11 Aug 2016
- Financial Statement Quarter 2/2016
- 04 Aug 2016
- Details of Assets of CPNCG
- 28 Jul 2016
- NAV announcement as of 30 June, 2016
- 26 Jul 2016
- Announces dividend payment Q2/2016
- 24 Jun 2016
- NAV announcement as of 31 May, 2016
- 24 May 2016
- NAV announcement as of 30 April, 2016
- 19 May 2016
- Announcement of 10 Major Shareholders
- 13 May 2016
- Reviewed Quarter 1 F/S (F45-1)
- 13 May 2016
- Financial Statement Quarter 1/2016
- 04 May 2016
- Details of Assets of CPNCG
- 28 Apr 2016
- NAV announcement as of 31 March, 2016
- 26 Apr 2016
- Announces dividend payment Q1/2016
- 25 Mar 2016
- NAV announcement as of 29 February, 2016
- 26 Feb 2016
- NAV announcement as of 31 January, 2016
- 26 Feb 2016
- Audited Yearly F/S (F45-1)
- 26 Feb 2016
- Financial Statement Yearly 2015
- 17 Feb 2016
- Announcement of 10 Major Shareholders
- 04 Feb 2016
- Details of Assets of CPNCG
- 29 Jan 2016
- NAV announcement as of 31 December, 2015
- 27 Jan 2016
- Announces dividend payment Q4/2015
- 29 Dec 2015
- NAV announcement as of 30 November, 2015
- 27 Nov 2015
- NAV announcement as of 31 October, 2015
- 19 Nov 2015
- Announcement of 10 Major Shareholders
- 13 Nov 2015
- Reviewed Quarter 3 F/S (F45-1)
- 13 Nov 2015
- Financial Statement Quarter 3/2015
- 30 Oct 2015
- Details of Assets of CPNCG
- 28 Oct 2015
- NAV announcement as of 30 September, 2015
- 27 Oct 2015
- Announces dividend payment Q3/2015
- 28 Sep 2015
- NAV announcement as of 31 August, 2015
- 27 Aug 2015
- NAV announcement as of 31 Jul, 2015
- 17 Aug 2015
- Announcement of 10 Major Shareholders
- 13 Aug 2015
- Reviewed Quarter 2 F/S (F45-1)
- 13 Aug 2015
- Financial Statement Quarter 2/2015
- 31 Jul 2015
- Details of Assets of CPNCG
- 29 Jul 2015
- NAV announcement as of 30 June, 2015
- 24 Jul 2015
- Announces dividend payment Q2/2015
- 26 Jun 2015
- NAV announcement as of 31 May, 2015
- 28 May 2015
- NAV announcement as of 30 April, 2015
- 20 May 2015
- Announcement of 10 Major Shareholders
- 15 May 2015
- Reviewed Quarter 1 F/S (F45-1)
- 15 May 2015
- Financial Statement Quarter 1/2015
- 12 May 2015
- Details of Assets of CPNCG
- 30 Apr 2015
- NAV announcement as of 31 March, 2015
- 29 Apr 2015
- Announces dividend payment Q1/2015
- 26 Mar 2015
- NAV announcement as of 28 February, 2015
- 26 Feb 2015
- NAV announcement as of 31 January,2015
- 25 Feb 2015
- Audited Yearly F/S (F45-1)
- 25 Feb 2015
- Financial Statement Yearly 2014
- 13 Feb 2015
- Announcement of 10 Major Shareholders
- 02 Feb 2015
- Details of Assets of CPNCG
- 29 Jan 2015
- NAV announcement as of 31 December,2014
- 21 Jan 2015
- Announces dividend payment Q4/2014
- 23 Dec 2014
- NAV announcement as of 30 November,2014
- 21 Nov 2014
- NAV announcement as of 31 October,2014
- 21 Nov 2014
- Announcement of 10 Major Shareholders
- 13 Nov 2014
- Financial Statement Quarter 3/2014
- 13 Nov 2014
- Reviewed Quarter 3 F/S (F45-1)
- 31 Oct 2014
- Details of Assets of CPNCG
- 29 Oct 2014
- Announces dividend payment Q3/2014
- 29 Oct 2014
- NAV announcement as of 30 September,2014
- 24 Sep 2014
- NAV announcement as of 31 August,2014
- 26 Aug 2014
- NAV announcement as of 31 July,2014
- 22 Aug 2014
- Announcement of 10 Major Shareholders
- 14 Aug 2014
- Reviewed Quarter 2 F/S (F45-1)
- 14 Aug 2014
- Financial Statement Quarter 2/2014
- 06 Aug 2014
- Details of Assets of CPNCG
- 29 Jul 2014
- Announces dividend payment Q2/2014
- 28 Jul 2014
- NAV announcement as of 30 June,2014
- 24 Jun 2014
- NAV announcement as of 31 May,2014
- 28 May 2014
- NAV announcement as of 30 April, 2014
- 20 May 2014
- Announcement of 10 Major Shareholders
- 15 May 2014
- Financial Statement Quarter 1/2014
- 15 May 2014
- Reviewed Quarter 1 F/S (F45-1)
- 08 May 2014
- Details of Assets of CPNCG
- 29 Apr 2014
- NAV announcement as of 31 March,2014
- 28 Apr 2014
- Resignation of Investment Committee Member CPN Commercial Growth Leasehold Property Fund
- 24 Apr 2014
- Announces dividend payment Q1/2014
- 27 Mar 2014
- NAV announcement as of 28 February, 2014
- 27 Feb 2014
- NAV announcement as of 31 January, 2014
- 25 Feb 2014
- Financial Statement Yearly 2013
- 25 Feb 2014
- Audited Yearly F/S (F45-1)
- 18 Feb 2014
- Announcement of 10 Major Shareholders
- 30 Jan 2014
- Details of Assets of CPNCG
- 22 Jan 2014
- Announces dividend payment Q4/2013
- 22 Jan 2014
- NAV announcement as of 31 December,2013
- 26 Dec 2013
- NAV announcement as of 30 November, 2013
- 21 Nov 2013
- NAV announcement as of 31 October, 2013
- 14 Nov 2013
- Reviewed Quarter 3 F/S (F45-1)
- 14 Nov 2013
- Financial Statement Quarter 3/2013
- 12 Nov 2013
- Details of Assets of CPNCG
- 12 Nov 2013
- Announcement of 10 Major Shareholders
- 28 Oct 2013
- NAV announcement as of 30 September, 2013
- 18 Oct 2013
- Announces dividend payment Q3/2013
- 26 Sep 2013
- NAV announcement as of 31 August, 2013
- 27 Aug 2013
- NAV announcement as of 31 July, 2013
- 13 Aug 2013
- Announcement of 10 Major Shareholders
- 02 Aug 2013
- Details of Assets of CPNCG
- 17 Jul 2013
- Announces dividend payment Q2/2013
- 17 Jul 2013
- NAV announcement as of 30 June, 2013
- 25 Jun 2013
- NAV announcement as of 31 May, 2013
- 28 May 2013
- NAV announcement as of 30 April, 2013
- 17 May 2013
- Announcement of 10 Major Shareholders
- 15 May 2013
- Reviewed Quarter 1 F/S (F45-1)
- 15 May 2013
- Financial Statement Quarter 1/2013
- 26 Apr 2013
- Details of Assets of CPNCG
- 26 Apr 2013
- Announces dividend payment Q1/2013
- 25 Apr 2013
- NAV announcement as of 31 March, 2013
- 25 Mar 2013
- NAV announcement as of 28 February, 2013
- 22 Feb 2013
- NAV announcement as of 31 January, 2013
- 21 Feb 2013
- Financial Statement Yearly 2012
- 21 Feb 2013
- Audited Yearly F/S (F45-1)
- 18 Feb 2013
- Notification for the correction of the fiscal year for 2012 & dividend consideration period of CPNCG
- 13 Feb 2013
- Announcement of 10 Major Shareholders
- 18 Jan 2013
- Details of Assets of CPNCG
- 18 Jan 2013
- Announces dividend payment Q4/2012
- 18 Jan 2013
- NAV announcement as of 31 December, 2012
- 24 Dec 2012
- Summary of Initial Investment Part 2 by CPNCG
- 24 Dec 2012
- NAV announcement as of 30 November,2012
- 20 Nov 2012
- NAV announcement as of 31 October, 2012
- 17 Oct 2012
- NAV announcement as of 30 September,2012
- 24 Sep 2012
- Notification for the announcement of Financial Statement, Net Asset Value, and Dividend Payment
- 24 Sep 2012
- Investment in Leasehold Right of Properties