0.32 31/3/2019 % 31/12/2018 % Inc./(Dec.) % Current Asset 400.11 22,733.52 421.06 16,257.14 (20.95) (4.98) Non-Current Asset 892.18 50,692.05 923.26 35,647.10 (31.08) (3.37) Total Asset 1,292.29
, almost 89% of total net trade and other receivables, were under current due. Inventory (net) as of 30 June 2019 amounted to Baht 10,003 million, an increase of Baht 542 million or 5.7% from 31 December
) (68.72) 311.51 Basic Loss Per Share (THB) (0.12) (0.04) Book Value per Share (THB) 0.12 0.32 30/06/2562 % 31/12/2561 % เพิม่/(ลด) % Current Asset 308.86 31,841.24 362.95 25,381.12 (54.09) (14.90) Non
due to less projects deliver Gain on sales of current investments as amounting of 91.32 Million Baht as revenue from sales of current investment of 4.04 Million Baht and unrealized gain of 87.28
details as follows: The Company Name : Tastemaker Company Limited Initial capital : 5,000,000 THB (Five Million Baht) Current Registered Capital : 50,000,000 THB (Fifty Million Baht) Capital Structure
Baht, increasing 50.81% compared to the same period last year due to the adjustment of decremented provision and doubtful accounting policy to reflect the current assets value. 2. Cost of sales and
. Statements of financial position As of 30 September 2018, the Company reported Total Current Assets of Baht 367.30 million, an increase from Baht 347.87 million as of 31 December 2017. The variance is mostly
Position Unit : Million Baht 30 Sep 2019 31 Dec 2018 % Change Cash and cash equivalents 12,420 15,608 (20.4) Current investments 2 223 (99.2) Trade and other receivables 11,303 11,558 (2.2) Inventories 9,462
current operation. 3. Selling expense were Baht 43.35 million; decreased Baht 5.13 million or 10.58% from same period of last year This is the same trend of decreasing in Revenue from sale and service. 4
assets of consolidated financial statements increased by Baht 63.42 million or 2.19% compared with last year. Most of the increase was from non-current assets in the amount of Baht 104.93 million