repayment of short- term borrowings from financial institutions by using money gained from trading of its ordinary shares in the MAI stock exchange. • Other current assets decreased by Baht 35.06 million
million. Statements of Financial Position as at December 31, 2017 2017 2016 Change (Million Baht) (Million Baht) (%) Current Assets 1,230.25 1,360.25 (9.56) Non-Current Assets 1,822.28 1,665.63 9.40 Total
by the increase of the current liabilities in the type of trade receivables in the amount of THB 35 million while the non- current liabilities were increased from the previous year in the amount of THB
1,293 million. This was caused by the increase of the current liabilities in the type of trade receivables in the amount of THB 35 million while the non- current liabilities were increased from the
project costs during construction 9,131.95 9,243.16 (1.20%) 7,413.96 7,686.94 (3.55%) 17. Backlog 7,988.47 7,684.91 3.95% 7,359.82 7,269.15 1.25% 18. Other current assets Note 1 51.50 68.10 (24.38%) 925.50
% Change YoY % YoY Asset Cash 111.34 9.1% 134.07 10.4% 22.73 20.4% current investment 406.79 33.2% 350.65 27.2% (56.14) (13.8%) Trade & Other receivable 118.32 9.3% 153.42 11.7% 35.10 29.7% Other current
7,269.15 (6.15%) 18. Other current assets Note 1 51.50 68.10 (24.38%) 854.50 698.00 22.42% 19. Non-current assets Note 2 3,310.69 3,464.65 (4.44%) 3,526.07 3,697.17 (4.63%) 20. Total assets 21,811.65
% Current investments 100.00 8.2% 25.12 1.9% (74.88) (74.9%) Trade & Other receivable 118.32 9.7% 146.29 11.4% 32.43 28.5% Other current Asset 2.14 0.1% 1.74 0.1% (0.40) (18.7%) Other long-term investments
% Change YoY % YoY Assets Cash 111.34 9.1% 122.73 9.5% 11.39 10.2% Current investments 100.00 8.2% 25.12 1.9% (74.88) (74.9%) Trade & Other receivable 118.32 9.7% 146.29 11.4% 32.43 28.5% Other current Asset
September 2020. 31-Dec 31-Dec 2020 2019 MB % ASSETS Total Current Assets 238.87 1,879.09 (1,640.22) -686.66% Total Non-current Assets 440.08 421.26 18.82 4.28% 678.95 2,300.35 (1,621.40) -238.81% LIABILITIES