SET Announcements | Raimon Land
14 November 2012

Financial Statement Quarter 3/2012

12 November 2012

Clarification of News or Information

01 October 2012

The result of the second exercise of warrant (RML-W3) on September 28, 2012

14 September 2012

List of securities required to be traded in Cash Balance A/C

13 September 2012

Notification of the 2 nd exercise of the warrants (RML-W3)

09 August 2012

Report on the operating results second quarter of 2012

09 August 2012

Reviewed Quarter 2 and Consolidated F/S (F45-3)

09 August 2012

Financial Statement Quarter 2/2012

27 July 2012

Report on the utilization of the Fund from capital increase

02 July 2012

The result of the First exercise of warrant (RML-W3) on June 29, 2012

18 June 2012

Notification of the 1st exercise of the warrants (RML-W3)

08 June 2012

List of securities required to be traded in Cash Balance A/C

05 June 2012

SET adds new listed securities: RML-W3 to be traded on SET on Jun 7, 2012

29 May 2012

Report of the results of the sale of warrants RML-W3 (F 53-5)

15 May 2012

Reviewed Quarter 1 and Consolidated F/S (F45-3)

15 May 2012

Report on the operating results for the first quarter of 2012 of Raimon Land Public Company Limited

15 May 2012

Financial Statement Quarter 1/2012

15 May 2012

Acknowledge the resignation of director and the appointment of new director

11 May 2012

List of securities required to be traded in Cash Balance A/C

09 May 2012

Report on the record date and book closing date for the allocation of warrants (Added Template)