1,628.5 965.5 49.0 3.0 712.0 73.7 Profit for the period 86.6 69.8 61.8 16.8 24.1 24.8 40.1 In Q3–2019, the company’s total revenue increased from Q2–2019 and Q3–2018, representing an increase of 69.0 MB and
, the neighboring community around the project (within the 20 kilometers radius) would request for such waste water from the project to irrigate agricultural area of the community. Nevertheless, during
, the neighboring community around the project (within the 20 kilometers radius) would request for such waste water from the project to irrigate agricultural area of the community. Nevertheless, during
2018, the Company had the net profit attributable to equity holders of the Company in the amount of Baht 978 Million representing an increase from the same quarter of the previous year by Baht 255
schedule of EGM1/2020, Capital Decrease, Capital increase, an Increasing of investment cost in Carnival Magic Project, and compensation for design and construction to related person. (Update) To: Managing
1,123.0 1,045.9 948.1 77.1 7.4 174.9 18.5 Profit for the period 102.8 35.5 67.4 67.3 189.6 35.4 52.5 In Q1–2019, the company’s total revenue increased form Q4–2018 and Q1–2018, representing an increase of
Sukhumvit Road, Khwaeng Khlong Tan Nuea, Khet Watthana, Bangkok with Net Leasable Area of approximately 26,157 square meters, including related movable assets that are necessary to operate Metropolis Office
Q4/2019 or 38%. This increase contributed mainly from the increase in Availability Payment (AP) from Sriracha Power Plant corresponding to the depreciation of Thai Baht against US Dollar, while the
the result in 2Q18. This decrease was a result of the extraordinary items and also the new investments. Without these items, the Company reported an increase operating result of THB 78 million from the
the result in 2Q18. This decrease was a result of the extraordinary items and also the new investments. Without these items, the Company reported an increase operating result of THB 78 million from the