Report NAV As of November 30,2013
19 December 2013
Report NAVs
Subject : Report NAV As of November 30,2013
Fund name : KPN PROPERTY FUND (KPNPF)
NAV as of : 30-Nov-2013
Net Assets Value per unit (Baht) : 10.1084
Net Assets Value (Baht) : 1,819,527,217.06
Balance Units (Units) : 180,000,000.0000
Signature ___________________________
(Miss Chanathip Rungkunanon )
Authorized to sign on behalf of the company
______________________________________________________________________
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