One Asset Management Limited, the Management Company of Thai Industrial Fund 1 (TIF1) announced that the Fund dividend payment from adjusted net profit for the operation period from 1 October 2021 to 31 December 2021 and retained earnings is THB 0.1450 per unit and the payment date will be on 18 March 2022. That the book closing date to determine the right of unit holders who are entitled to receive dividend will be on 4 March 2022.