(MB) For the three-month period 2018 2017 YoY % Q4/2018 Q4/2017 YoY % Total Sales and Services revenue 1,050.08 1,039.90 10.18 0.98% 4,220.99 4,308.04 (87.05) (2.02%) Raw water revenue 588.09 566.33
profit attributable to equity holders of the parent company of 838.86 million Baht, decreased by 42.17 million Baht or 4.79%. Income statement (Million Baht) For the three-month period For the nine-month
attributable to equity holders of the parent company of 1,044.79 million Baht, decreased by 72.73 million Baht or 6.51%. ง Income statement (Million Baht) For the three-month period Year 2019 Year 2018 YOY % Q4
(Million Baht) For the three-month period For the six-month period Q2/2019 Q2/2018 YOY % 1H/2019 1H/2018 YOY % Total Sales and Services revenue 1,195.92 1,047.68 148.24 14.15% 2,360.75 2,093.08 267.68 12.79
company of 465.05 million Baht, decreased by 144.42 million Baht or -23.70%. ง Income statement (Million Baht) For the three-month period For the six-month period Q2/2020 Q2/2019 YOY % 1H/2020 1H/2019 YOY
) complete penetration testing on all computer systems relating to trading services with respect to derivatives every three years, the order of systems tested being in accordance with their priority according
for the preceding three years. 2. Disclose both audit fee and non-audit fee of the issuer’s auditors. E. Registrars and Agents 1. Provide the names and addresses of the issuer’s share registrars
three months from the date on which the Board of Directors of the Company has the resolution. A purpose is to support the Company’s financial liquidity to be sufficient for business operation and to
. Liquidity Cash Flow Activities For the three-month period ended March 31, 2018, the Company and its subsidiaries generated cash flows from operating activities of approximately THB 579.28 million, increased
. Liquidity Cash Flow Activities For the three- month period ended March 31, 2019, the Company and its subsidiaries generated cash flows from operating activities of approximately THB 304.79 million, decreased