MFC-Strategic Storage Fund declared Cash dividend payment (baht per unit): 0.100, Par value (baht): 10.00 for the Operating period from 01-January-2023 to 31-March-2023, Ex-dividend date: 31-May-2023, Ex-dividend date: 31-May-2023 and Payment date: 19-June-2023.
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5-day change | 1st Jan Change | ||
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+8.76% | 9.43B | |
-11.27% | 3.12B | |
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-1.89% | 2.14B | |
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+3.68% | 634M | |
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- MFC-Strategic Storage Fund Declares Cash Dividend for the period from 01 January 2023 to 31 March 2023, Payable on 19 June 2023