the financial statements for the period ended 31 March 2019, the company is under the process of determining fair value for intangible assets resulting from the acquisition of the company. Therefore
- - Doubtful Account 86.97 762.23 - - Impairment of intangible assets - - 16.87 31.69 Loss on impairment of goodwill 51.20 448.73 - - Loss on impairment of investment in associate 1.64 14.37 - - Management
) (1,944.05) Current assets 1,902.58 1,320.50 1,198.93 2,606.69 Total assets 19,398.46 18,813.89 19,442.09 21,919.09 Current liabilities 15,271.12 16,507.40 14,663.84 13,833.37 Total liabilities 17,954.65
product in support of their investment decision making; (3) To disclose the fees charged to the clients by the intermediary . Clause 8 In case of providing services to clients who are subject to the
product in support of their investment decision making; (3) To disclose the fees charged to the clients by the intermediary. Clause 8 In case of providing services to clients who are subject to the
type of license granted to the intermediary ; (2) To arrange for clients to access the information prepared by the foreign intermediary or the issuer or the offeror of such product in support of their
information prepared by the foreign intermediary or the issuer or the offeror of such product in support of their investment decision making; (3) To disclose the fees charged to the clients by the intermediary
information prepared by the foreign intermediary or the issuer or the offeror of such product in support of their investment decision making; (3) To disclose the fees charged to the clients by the intermediary
million Baht, loss from disposal of assets of 2.23 million Baht, and increased in selling expenses of 2.75 million Baht. Subsidiaries realized net loss of 9.02 million Baht in the 2nd quarter of 2019 and
) . . - - Par (Baht) . . - - 4.1 Assets The total asset as at June 30, 2020 was increased in an amounting of Baht 35.23 million or 4.56 percent from the end of 2019. Significant changes was included Cash and cash