| ISIN Code |
 |
|
TH0364010Y01 |
| ISIN Code Foreign |
 |
|
TH0364010Y19 |
| ISIN Code NVDR |
 |
|
TH0364010R18 |
| ISIN Code TTF |
 |
|
|
| CUSIP Code |
|
| SEDOL Code |
|
| SET Symbol |
 |
|
RML |
| SET Symbol Foreign |
 |
|
RML-F |
| SET Symbol NVDR |
 |
|
RML-R |
| SET Symbol TTF |
 |
|
|
| CFI Code |
|
| Issuer Name |
RAIMON LAND PUBLIC COMPANY LIMITED |
| Financial Instrument Type |
Common Stock |
| Authorized Capital1/ |
4,704,337,397.00 |
| Paid-up Capital1/ |
3,575,483,607.00 |
| No. of Paid-up1/ |
3,575,483,607 |
| Par Value |
 |
|
10.00 |
| Par Value |
| 28 Nov 2003 |
|
1.00 |
| 4 Jun 2002 |
27 Nov 2003 |
5.00 |
| 10 Sep 1993 |
3 Jun 2002 |
10.00 |
| ISIN Code |
ISIN Code Foreign |
ISIN Code NVDR |
ISIN Code TTF |
SET Symbol |
SET Symbol Foreign |
SET Symbol NVDR |
SET Symbol TTF |
| 29 Apr 2019 |
|
TH0364010Y01 |
TH0364010Y19 |
TH0364010R18 |
|
RML |
RML-F |
RML-R |
|
| 11 Oct 2018 |
28 Apr 2019 |
TH0364010Y01 |
TH0364010Y19 |
TH0364010R18 |
|
RML |
RML-F |
RML-R |
|
| 29 May 2015 |
|
TH0364010Y01 |
TH0364010Y19 |
TH0364010R18 |
|
RML |
RML-F |
RML-R |
|
| 3 May 2012 |
28 May 2015 |
TH0364010Y01 |
TH0364010Y19 |
TH0364010R18 |
|
RML |
RML-F |
RML-R |
|
| 10 Sep 1993 |
2 May 2012 |
TH0364A10Z03 |
TH0364A10Z11 |
TH0364010R18 |
|
RAIMON |
RAIMON-F |
RAIMON-R |
|
|