357 2.11 360 2.23 (3) (0.87) Property, Plant and Equipment 7,664 45.32 7,431 45.98 233 3.14 Deferred Tax Assets 379 2.24 373 2.31 6 1.33 Other Non-Current Assets 92 0.54 104 0.65 (12) (11.50) Total Non
portion of debentures of 3,614.5 Million Baht, debentures (net) of 2,299.7 Million Baht and advances and deposits received from customers of 4,001.2 Million Baht, deferred tax liability on gain from JV
%. In 3Q17, bad debt to postpaid revenue was 4.1%, compared to 3.2% in 3Q16 and 4.4% in 2Q17. Finance cost, including approximately Bt500mn of deferred interest from spectrum licenses, was Bt1,339mn which
Million Baht, debentures (net) of 2,299.7 Million Baht and advances and deposits received from customers of 4,001.2 Million Baht, deferred tax liability on gain from JV transaction of 1,897.6 Million baht
of Baht 47.53 million, but there were increase in cash and cash in bank of Baht 3.25 million, increase in deferred income tax of Baht 1.99 million and increase in other current assets and other non
long term loans 213 2.1% 157 1.7% 35.5% Others current liabilities 164 1.6% 103 1.1% 59.8% Total current liabilities 1,803 18.1% 1,694 18.8% 6.4% Long term loans 919 9.2% 1,053 11.7% -12.7% Deferred
cost was Bt1,104mn, decreasing -7.6%YoY and -7.5%QoQ from lower deferred spectrum interest after 900MHz license payment has been made in Jul-20 offset by increase in interest bearing debt. Profit In 3Q20
Krabi Solid Waste Power Plant and amortization during the period. Other assets increased by Baht 15.4 million due to the recording of deferred income tax assets increased by Baht 12.3 million. Liabilities
by Baht 27.9 million due to the recording of deferred income tax assets increased by Baht 12.1 million and increased in prepaid rental by Baht 11.0 million. Liabilities Total liabilities as at 31
% Debenture 997 8.2% 997 8.6% 0.0% Deferred rental revenue 527 4.3% 534 4.6% -1.3% Others non-current liabilities 1,384 11.4% 1,369 11.8% 1.1% Total non-current liabilities 3,487 28.6% 3,561 30.8% -2.1% Total