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ADVA13CD 
ADVA13PB 
AOT13CB 
AOT13CC 
AOT13PA 
BANP13CE 
BANP13CF 
BANP13PB 
BAY13CC 
BAY13PA 
BBL13CB 
BBL13CC 
BBL13PA 
BBL13PB 
BGH13CB 
BGH13CC 
BGH13PA 
BH13CA 
BH13CB 
BJC13CA 
BLA13CB 
BLA13CC 
BLA13PA 
CPF13CB 
CPF13PA 
CPF13PB 
DCC13CA 
DELT13CA 
DELT13CB 
DTAC13CB 
DTAC13CC 
DTAC13PB 
ESSO13CB 
ESSO13CC 
HMPR13CB 
HMPR13CC 
HMPR13PA 
IRPC13CC 
IRPC13PA 
IVL13CD 
IVL13CE 
IVL13PB 
IVL13PC 
KBAN13CE 
KBAN13PB 
KK13CA 
KK13CB 
KTB13CC 
KTB13CD 
KTB13PA 
PS13CC 
PS13PA 
PTT13CF 
PTT13PB 
PTTE13CE 
PTTE13PA 
PTTG13CA 
PTTG13PA 
ROBI13CA 
SCB13CB 
SCB13PB 
SCC13CD 
SCC13PB 
SPAL13CA 
SSI13CB 
STA13CC 
STA13PA 
TCAP13CD 
THAI13CB 
THAI13PA 
TMB13CC 
TMB13PA 
TOP13CC 
TOP13CD 
TOP13PB 
TPIP13CB 
TRUE13CC 
TRUE13PA 
Expired DW
ADVA13CA
ADVA13CB
ADVA13CC
ADVA13PA
AOT13CA
BANP13CA
BANP13CB
BANP13CC
BANP13CD
BANP13PA
BAY13CA
BAY13CB
BBL13CA
BCP13CA
BEC13CA
BGH13CA
BLA13CA
BTS13CA
BTS13CB
CPAL13CA
CPAL13CB
CPF13CA
CPN13CA
DTAC13CA
DTAC13PA
EGCO13CA
ESSO13CA
ESSO13PA
GLOW13CA
HMPR13CA
IRPC13CA
IRPC13CB
IVL13CA
IVL13CB
IVL13CC
IVL13PA
KBAN13CA
KBAN13CB
KBAN13CC
KBAN13CD
KBAN13PA
KTB13CA
KTB13CB
LH13CA
LH13CB
MINT13CA
PS13CA
PS13CB
PTT13CA
PTT13CB
PTT13CC
PTT13CD
PTT13CE
PTT13PA
PTTA13CA
PTTA13CB
PTTA13CC
PTTC13CA
PTTC13CB
PTTC13CC
PTTC13CD
PTTE13CA
PTTE13CB
PTTE13CC
PTTE13CD
SCB13CA
SCB13PA
SCC13CA
SCC13CB
SCC13CC
SCC13PA
SSI13CA
STA13CA
STA13CB
TCAP13CA
TCAP13CB
TCAP13CC
THAI13CA
TISC13CA
TMB13CA
TMB13CB
TOP13CA
TOP13CB
TOP13PA
TPIP13CA
TRUE13CA
TRUE13CB
TTA13CA
TTA13CB
TUF13CA

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Home > DW News
บริการของเรา - ฝ่ายธุรกิจตราสารอนุพันธ์
29/09/2011
8:23:49
Suspended trading and listing status termination of PTTA13CB, PTTC13CC HTML | PDF
29/09/2011
8:23:49
Suspended trading and listing status termination of PTTA13CB, PTTC13CC HTML | PDF
29/09/2011
8:21:16
Resolution of the Exercise of TMB18CB HTML | PDF
28/09/2011
17:09:00
Further issue of SCC08CA to be traded on September 30, 2011 HTML | PDF
28/09/2011
17:07:00
Further issue of IVL08CB to be traded on September 30, 2011 HTML | PDF
28/09/2011
8:26:00
Notification of Book Closed Date and Trading Suspension of PTTA13CB HTML | PDF
28/09/2011
8:26:00
Notification of Book Closed Date and Trading Suspension of PTTC13CC HTML | PDF
28/09/2011
8:15:00
Suspended trading and listing status termination of PTTA13CC, PTTC13CD HTML | PDF
28/09/2011
8:15:00
Suspended trading and listing status termination of PTTA13CC, PTTC13CD HTML | PDF
27/09/2011
8:35:00
Notification of Book Closed Date and Trading Suspension of PTTA13CC HTML | PDF
27/09/2011
8:35:00
Notification of Book Closed Date and Trading Suspension of PTTC13CD HTML | PDF
27/09/2011
8:35:00
Report on the Distribution of STA13CB HTML | PDF
26/09/2011
17:04:00
Further issue of THAI13CA to be traded on Sep 28, 2011 HTML | PDF
26/09/2011
8:50:00
Notification of Settlement Price and Net Cash Settlement Amount of BBL13CA HTML | PDF
26/09/2011
8:50:00
Resolution of the Exercise of KTB13CB HTML | PDF
22/09/2011
18:16:00
Resolution of the Exercise of IVL13CC HTML | PDF
22/09/2011
18:16:00
Resolution of the Exercise of IVL13PA HTML | PDF
22/09/2011
18:16:00
Report on the Distribution of IVL13PA HTML | PDF
22/09/2011
8:46:00
Report on the Distribution of PTTA13CB HTML | PDF
22/09/2011
8:46:00
Report on the Distribution of PTTC13CC HTML | PDF
22/09/2011
8:46:00
Report on the Distribution of PTTE13CD HTML | PDF
22/09/2011
8:46:00
Report on the Distribution of KBAN13CD HTML | PDF
22/09/2011
8:29:00
Suspended trading and listing status termination of TCAP13CC HTML | PDF
21/09/2011
9:01:00
Suspended trading and listing status termination of TOP13CB HTML | PDF
21/09/2011
8:33:00
Notification of Book Closed Date and Trading Suspension of TCAP13CC HTML | PDF
21/09/2011
8:31:00
Report on the Distribution of TUF13CA HTML | PDF
21/09/2011
8:31:00
Report on the Distribution of MINT13CA HTML | PDF
21/09/2011
8:31:00
Report on the Distribution of HMPR13CA HTML | PDF
21/09/2011
8:31:00
Report on the Distribution of BEC13CA HTML | PDF
20/09/2011
8:30:00
Notification of Book Closed Date and Trading Suspension of TOP13CB HTML | PDF
19/09/2011
7:53:00
Suspended trading and listing status termination of BANP13CD HTML | PDF
16/09/2011
18:08:00
Notification of Settlement Price and Net Cash Settlement Amount of KTB13CB HTML | PDF
16/09/2011
18:03:00
Resolution of the Exercise of TOP18CB HTML | PDF
16/09/2011
13:26:00
Resolution of the Exercise of ESSO13CA HTML | PDF
16/09/2011
13:26:00
Report on the Distribution of BANP13CD HTML | PDF
16/09/2011
8:32:00
New Exercise price and Exercise ratio of ESSO13CB HTML | PDF
16/09/2011
8:32:00
New Exercise price and Exercise ratio of ESSO13PA HTML | PDF
16/09/2011
8:32:00
Notification of Settlement Price and Net Cash Settlement Amount of IVL13PA HTML | PDF
16/09/2011
8:32:00
Notification of Settlement Price and Net Cash Settlement Amount of IVL13CC HTML | PDF
14/09/2011
8:26:00
Suspended trading and listing status termination of BBL13CA HTML | PDF
14/09/2011
8:24:00
Notification of New Information of PTTC13CD HTML | PDF
14/09/2011
8:24:00
Notification of New Information of PTTA13CC HTML | PDF
13/09/2011
14:08:00
Change to the Maturity Date of PTTA13CC and PTTC13CD HTML | PDF
13/09/2011
14:08:00
Change to the Maturity Date of PTTA13CC and PTTC13CD HTML | PDF
13/09/2011
14:08:00
No change to the Maturity Date of PTTA13CB and PTTC13CC HTML | PDF
13/09/2011
14:08:00
No change to the Maturity Date of PTTA13CB and PTTC13CC HTML | PDF
13/09/2011
7:45:00
Notification of Book Closed Date and Trading Suspension of BBL13CA HTML | PDF
13/09/2011
7:43:00
Adjustment of the Exercise price and Exercise ratio of HMPR13CB HTML | PDF
13/09/2011
7:43:00
Adjustment of the Exercise price and Exercise ratio of HMPR13CA HTML | PDF
13/09/2011
7:42:00
New Exercise price and Exercise ratio of BANP13CE HTML | PDF
13/09/2011
7:42:00
New Exercise price and Exercise ratio of BANP13CD HTML | PDF
12/09/2011
8:36:00
Notification of Settlement Price and Net Cash Settlement Amount of ESSO13CA HTML | PDF
09/09/2011
8:36:00
New Exercise price and Exercise ratio of BCP13CA HTML | PDF
07/09/2011
9:07:00
Suspended trading and listing status termination of KTB13CB HTML | PDF
07/09/2011
8:42:00
Adjustment of the Exercise price and Exercise ratio of ESSO13PA HTML | PDF
07/09/2011
8:42:00
Adjustment of the Exercise price and Exercise ratio of BANP13CD HTML | PDF
07/09/2011
8:42:00
Adjustment of the Exercise price and Exercise ratio of BCP13CA HTML | PDF
07/09/2011
8:42:00
Adjustment of the Exercise price and Exercise ratio of ESSO13CB HTML | PDF
07/09/2011
8:42:00
Adjustment of the Exercise price and Exercise ratio of BANP13CE HTML | PDF
07/09/2011
8:38:00
New Exercise price and Exercise ratio of KK13CA HTML | PDF
07/09/2011
8:38:00
New Exercise price and Exercise ratio of BBL13PA HTML | PDF
07/09/2011
8:35:00
New Exercise price and Exercise ratio of BBL13CB HTML | PDF
07/09/2011
8:35:00
New Exercise price and Exercise ratio of BBL13CA HTML | PDF
06/09/2011
8:30:00
Notification of Book Closed Date and Trading Suspension of KTB13CB HTML | PDF
06/09/2011
8:08:00
Suspended trading and listing status termination of IVL13CC, IVL13PA HTML | PDF
06/09/2011
8:08:00
Suspended trading and listing status termination of IVL13CC, IVL13PA HTML | PDF
05/09/2011
8:42:00
Report on the Distribution of IRPC13CB HTML | PDF
05/09/2011
8:42:00
Report on the Distribution of TRUE13CB HTML | PDF
05/09/2011
8:42:00
Notification of Book Closed Date and Trading Suspension of IVL13PA HTML | PDF
05/09/2011
8:42:00
Notification of Book Closed Date and Trading Suspension of IVL13CC HTML | PDF
02/09/2011
8:16:00
Report on the Distribution of LH13CB HTML | PDF
02/09/2011
8:16:00
Report on the Distribution of ADVA13CC HTML | PDF
01/09/2011
13:17:00
SET adds new listed securities: PTTA13CC to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:17:00
SET adds new listed securities: PTTC13CD to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:16:00
SET adds new listed securities: KTB13CC to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:15:00
SET adds new listed securities: IVL13PB to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:15:00
SET adds new listed securities: KK13CA to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:14:00
SET adds new listed securities: DTAC13CB to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:14:00
SET adds new listed securities: HMPR13CB to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:13:00
SET adds new listed securities: CPF13PA to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:13:00
SET adds new listed securities: DELT13CA to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:12:00
SET adds new listed securities: BLA13CB to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:11:00
SET adds new listed securities: BGH13CB to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:11:00
SET adds new listed securities: BH13CA to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:10:00
SET adds new listed securities: BBL13PA to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:09:00
SET adds new listed securities: BBL13CB to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:08:00
SET adds new listed securities: BANP13CE to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
13:07:00
SET adds new listed securities: AOT13CB to be traded on SET on Sep 5, 2011 HTML | PDF
01/09/2011
8:43:00
Report on the Distribution of TMB13CB HTML | PDF
01/09/2011
8:43:00
Report on the Distribution of BTS13CB HTML | PDF
31/08/2011
8:36:00
Suspended trading and listing status termination of ESSO13CA HTML | PDF
31/08/2011
8:33:00
Report on the Distribution of SCC13CC HTML | PDF
31/08/2011
8:33:00
Report on the Distribution of CPAL13CB HTML | PDF
30/08/2011
13:16:00
SET adds new listed securities: TOP13CC to be traded on SET on Sep 1, 2011 HTML | PDF
30/08/2011
13:15:00
SET adds new listed securities: IVL13CD to be traded on SET on Sep 1, 2011 HTML | PDF
30/08/2011
13:13:00
SET adds new listed securities: ESSO13CB to be traded on SET on Sep 1, 2011 HTML | PDF
30/08/2011
8:31:00
Notification of Book Closed Date and Trading Suspension of ESSO13CA HTML | PDF
26/08/2011
17:06:00
Further issue of THAI13CA to be traded on August 30, 2011 HTML | PDF
25/08/2011
8:41:00
Resolution of the Exercise of TTA13CB HTML | PDF
18/08/2011
8:38:00
Notification of Settlement Price and Net Cash Settlement Amount of TTA13CB HTML | PDF
16/08/2011
8:24:00
New Exercise price and Exercise ratio of ADVA13CC HTML | PDF
09/08/2011
8:41:00
Suspended trading and listing status termination of TTA13CB HTML | PDF
08/08/2011
8:35:00
Report on the Distribution of THAI13CA HTML | PDF
08/08/2011
8:35:00
Notification of Book Closed Date and Trading Suspension of TTA13CB HTML | PDF
04/08/2011
13:25:00
adds new listed securities: TOP13PA to be traded on SET on Aug 8, 2011 HTML | PDF
04/08/2011
13:24:00
SET adds new listed securities: ESSO13PA to be traded on SET on Aug 8, 2011 HTML | PDF
03/08/2011
13:09:00
SET adds new listed securities: TPIP13CA to be traded on SET on Aug 5, 2011 HTML | PDF
03/08/2011
13:08:00
SET adds new listed securities: SSI13CA to be traded on SET on Aug 5, 2011 HTML | PDF
03/08/2011
13:07:00
SET adds new listed securities: EGCO13CA to be traded on SET on Aug 5, 2011 HTML | PDF
03/08/2011
13:06:00
SET adds new listed securities: CPN13CA to be traded on SET on Aug 5, 2011 HTML | PDF
02/08/2011
13:05:00
SET adds new listed securities: GLOW13CA to be traded on SET on Aug 4, 2011 HTML | PDF
02/08/2011
13:04:00
SET adds new listed securities: BLA13CA to be traded on SET on Aug 4, 2011 HTML | PDF
02/08/2011
13:03:00
SET adds new listed securities: BCP13CA to be traded on SET on Aug 4, 2011 HTML | PDF
02/08/2011
13:02:00
SET adds new listed securities: AOT13CA to be traded on SET on Aug 4, 2011 HTML | PDF
01/08/2011
17:12:00
Further issue of IVL13CC to be traded on Aug 3, 2011 HTML | PDF
21/07/2011
19:16:00
Report on the Distribution of THAI13CA HTML | PDF
21/07/2011
19:16:00
Report on the Distribution of STA13CB HTML | PDF
21/07/2011
19:16:00
Report on the Distribution of BAY13CB HTML | PDF
21/07/2011
8:13:00
Report on the Distribution of DTAC13CA HTML | PDF
21/07/2011
8:13:00
Report on the Distribution of BGH13CA HTML | PDF
20/07/2011
8:52:00
Report on the Distribution of BANP13CD HTML | PDF
20/07/2011
8:44:00
Report on the Distribution of TISC13CA HTML | PDF
20/07/2011
8:44:00
Report on the Distribution of TCAP13CC HTML | PDF
19/07/2011
9:01:00
Resolution of the Exercise of PTTA13CA HTML | PDF
11/07/2011
8:33:00
Notification of Settlement Price and Net Cash Settlement Amount of PTTA13CA HTML | PDF
08/07/2011
7:59:00
Resolution of the Exercise of PTTC13CB HTML | PDF
07/07/2011
8:07:07
Resolution of the Exercise of PTTE13CC HTML | PDF
30/06/2011
9:18:00
Notification of Settlement Price and Net Cash Settlement Amount of PTTC13CB HTML | PDF
30/06/2011
8:11:00
New Exercise price and Exercise ratio of TTA13CB HTML | PDF
30/06/2011
8:10:00
Resolution of the Exercise of KBAN13CC HTML | PDF
29/06/2011
8:35:00
Notification of Settlement Price and Net Cash Settlement Amount of PTTE13CC HTML | PDF
29/06/2011
8:33:00
Resolution of the Exercise of IRPC13CA HTML | PDF
29/06/2011
7:48:00
Suspended trading and listing status termination of PTTA13CA HTML | PDF
29/06/2011
7:47:00
New Exercise price and Exercise ratio of BTS13CB HTML | PDF
27/06/2011
17:30:00
Notification of Book Closed Date and Trading Suspension of PTTA13CA HTML | PDF
27/06/2011
17:29:00
Resolution of the Exercise of TRUE13CA HTML | PDF
24/06/2011
8:36:00
Adjustment of the Exercise price and Exercise ratio of TTA13CB HTML | PDF
24/06/2011
8:35:00
Resolution of the Exercise of LH13CA HTML | PDF
23/06/2011
8:34:00
Resolution of the Exercise of ADVA13CB HTML | PDF
23/06/2011
8:28:00
Notification of Settlement Price and Net Cash Settlement Amount of KBAN13CC HTML | PDF
23/06/2011
8:27:00
Adjustment of the Exercise price and Exercise ratio of BTS13CB HTML | PDF
22/06/2011
8:37:00
Notification of Settlement Price and Net Cash Settlement Amount of IRPC13CA HTML | PDF
22/06/2011
8:37:00
Resolution of the Exercise of TMB13CA HTML | PDF
21/06/2011
17:03:00
Announcement of the list of DW required to be traded in cash balance A/C HTML | PDF
21/06/2011
13:18:00
SET adds new listed securities: IVL13PA to be traded on SET on Jun 23, 2011 HTML | PDF
21/06/2011
8:31:00
Suspended trading and listing status termination of PTTC13CB HTML | PDF
21/06/2011
8:29:00
Suspended trading and listing status termination of PTTE13CC HTML | PDF
21/06/2011
8:26:00
Report on the Distribution of BBL13CA HTML | PDF
21/06/2011
8:26:00
Notification of Settlement Price and Net Cash Settlement Amount of TRUE13CA HTML | PDF
20/06/2011
18:14:00
SET adds new listed securities: PTTE13CD to be traded on SET on Jun 22, 2011 (Revised) HTML | PDF
20/06/2011
17:02:00
Announcement of the list of DW required to be traded in cash balance A/C HTML | PDF
20/06/2011
13:11:00
SET adds new listed securities: PTTA13CB to be traded on SET on Jun 22, 2011 HTML | PDF
20/06/2011
13:10:00
SET adds new listed securities: PTTC13CC to be traded on SET on Jun 22, 2011 HTML | PDF
20/06/2011
13:06:00
SET adds new listed securities: PTTE13CD to be traded on SET on Jun 22, 2011 HTML | PDF
20/06/2011
13:04:00
SET adds new listed securities: KBAN13CD to be traded on SET on Jun 22, 2011 HTML | PDF
20/06/2011
8:40:00
Notification of Book Closed Date and Trading Suspension of PTTE13CC HTML | PDF
20/06/2011
8:40:00
Notification of Book Closed Date and Trading Suspension of PTTC13CB HTML | PDF
20/06/2011
8:38:00
Report on the Distribution of DW issued by KGI HTML | PDF
17/06/2011
17:02:00
Announcement of the list of DW required to be traded in cash balance A/C HTML | PDF
17/06/2011
13:17:00
SET adds new listed securities: HMPR13CA to be traded on SET on Jun 21, 2011 HTML | PDF
17/06/2011
13:17:00
SET adds new listed securities: TUF13CA to be traded on SET on Jun 21, 2011 HTML | PDF
17/06/2011
13:15:00
SET adds new listed securities: MINT13CA to be traded on SET on Jun 21, 2011 HTML | PDF
17/06/2011
13:14:00
SET adds new listed securities: BEC13CA to be traded on SET on Jun 21, 2011 HTML | PDF
17/06/2011
8:18:00
Notification of Settlement Price and Net Cash Settlement Amount of LH13CA HTML | PDF
16/06/2011
17:03:00
Announcement of the list of DW required to be traded in cash balance A/C HTML | PDF
16/06/2011
8:34:00
Notification of Settlement Price and Net Cash Settlement Amount of ADVA13CB HTML | PDF
15/06/2011
8:51:00
Notification of Settlement Price and Net Cash Settlement Amount of TMB13CA HTML | PDF
15/06/2011
8:38:00
Resolution of the Exercise of BTS13CA HTML | PDF
13/06/2011
17:04:00
Further issue of IVL13CC to be traded on Jun 15, 2011 HTML | PDF
13/06/2011
17:03:00
Further issue of ESSO13CA to be traded on Jun 15, 2011 HTML | PDF
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For more information, please contact ed-mkt@kgi.co.th or (662) 658-8921-27

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Equity Derivatives Department

KGI Securities (Thailand) Public Company Limited.  
Asia Centre Building, 8th-11th Floor, 173 South Road, Bangkok 10120, Thailand
Tel : (662) 658-8921-27 Fax : (662) 658-8655 E-mail : ed-mkt@kgi.co.th