the statement and combined them into one line below corporate tax expense called “Profit for the period from discontinued operation, net of tax” (See Note 7 to our interim financial statements for the
Securities Issued as Consideration for the Acquisition of the Asset Criteria - none - The financial information as at 30 June 2018 is described below: Unit : Baht RICH SKY-T Total assets 1,365,897,746.10
was Baht 449.8 million and Baht 0.1 million, respectively, a 1.7% increase from 3Q2018. The details have shown in the table below. (Unit: Million Baht) Utilities Business 3Q'19 3Q'18 % YTD YTD % Change
2018 had more fluctuated by moving from the lowest point at price level below USD 300/mt in the first quarter of 2016 then rebounded in the second quarter, and fell again in the third quarter and then
million Baht. In the year 2019 cash received from working capital to be used in business in 2019 as details below: Statement of cash flows of the Company and its subsidiaries for 2019, the company received
milion from SDWTP due to the delay of planned volume ramp up was recorded in 1Q2020. The details are shown in the table below. (Unit: Million Baht) Utilities Business 1Q'20 1Q'19 % Change Revenue from
additional borrowing to finance projects under development and loan facility to the acquisition of Metropolis building. Nevertheless, such net gearing ratio at 0.86x was well below the Company’s covenant. Unit
June 2020 of the Company and its subsidiaries as details below: (Unit: Baht millions) For the period of three months Consolidated financial statement ended 30th June Apr 2020 - June 2020 Apr 2019 - June
of advertising, office building space, motor vehicles and equipment. The Company has assessed the effect from the adoption of TFRS 16 to operating performance, as shown in below table. IMPACTS FROM
reserve 15.34 10.31 33.07 98.29 27.49 52.04 Percentage of total capacity 13% 48% 42% 60% 69% 18% Average (2011-2020) 45.38 8.15 36.64 92.09 23.34 132.56 Above/(below) average (2011-2020) (30.04) 2.16 (3.57