sales 281.33 227.90 (53.43) -18.99% 506.06 497.14 (8.92) -1.76% Gross profit 290.22 245.68 (44.54) -15.35% 537.04 496.04 (41.00) -7.63% % Gross profit 50.78% 51.88% 51.48% 49.94% Selling and admin
) -4.95% Cost of sales 281.33 227.95 (53.38) -18.97% 506.06 497.14 (8.92) -1.76% Gross profit 290.22 245.63 (44.59) -15.36% 537.04 496.04 (41.00) -7.63% % Gross profit 50.78% 51.87% 51.48% 49.94% Selling
) -4.95% Cost of sales 281.33 227.95 (53.38) -18.97% 506.06 497.14 (8.92) -1.76% Gross profit 290.22 245.63 (44.59) -15.36% 537.04 496.04 (41.00) -7.63% % Gross profit 50.78% 51.87% 51.48% 49.94% Selling
equity as of the year end 2018 and Q1/2019 amounted to THB 757.2 MB and THB 772.3 MB respectively. An increase in shareholder’s equity amount to THB 15.1 MB from net profit on year 2018 earned of THB 12.7
THB 748.0 MB respectively. An increase in shareholder’s equity amount to THB 9.3 MB from net profit of the first half of year 2019 earned of THB 29.9 MB and increase from gains on remeasurements of
Expenses 47 43 9 Allowance for doubtful account (Reverse) (1) 2 (150) Allowance for diminution in value of goods (4) (2) 200 Operating Profit 61 53 15 Less Loss from change in fair value of financial 67 4
57.0 MB, the profit from operation by 63.7 MB, and the increase in other components of equity by 1.0 MB. Cash Flow Based on the results for Q2/2020, the company’s cash flow was as follows: - Net cash
2019 and Q3/2 020 amounted to THB 752.8 MB and THB 782.0 MB respectively. An increase in shareholder’s equity amount to THB 29.1 MB from the net profit of year 2020 increased THB 79.4 MB and decreased
months ended 30 September 2019 Ratio 2018 Ratio Increase / (Decrease) Amount Ratio Service income 590.71 100% 486.67 100% 104.05 21.38 Cost of service 492.01 83.29% 385.15 79.14% 106.86 27.75 Gross Profit
profit The Company and its subsidiaries’ total gross loss were Baht 5.42 million compare to the same period of previous year which total gross profit were Baht 0.82 million, due to delay in work delivery