prior year. The total income was 1,071.18 million baht, an increase of 66.84 million baht or 6.66%, the financial cost was 249.84 million baht, an increased of 13.28 million baht or 5.61% from the same
Company had services income from digital solutions of THB 30.25 million, increased by THB 1 4 .4 6 million or +91.62% YoY, due to the increase in number of solutions and user spending through the solutions
. It appears that the operating results with a net loss of 54.72 million baht. But in the same period of the previous year there was a net loss of 38.98 million baht. There was net loss increased 15.74
. It appears that the operating results with a net loss of 54.72 million baht. But in the same period of the previous year there was a net loss of 38.98 million baht. There was net loss increased 15.74
. Meanwhile, net plant and equipment increased by Baht 49.62 million from building under construction at Chonburi branch to support business expansion and investment for production line improvement of spray
Baht increased when compared to same period of previous year of 123.20 Million Baht. The details are as follow: Performance Analysis (1) Revenue Year 2017, the company and its subsidiaries has total
(1.38) (8.07) Total 525.52 523.60 1.92 0.37 - Contract Manufacturing Business for ready-to-drink milk and pasteurized fruit juice increased by Baht 3.21 million, or 0.64%, in the first quarter of 2021
significantly changed in 2022 included (1) incentive receivables, increased by THB 104.39 million (+122.17%) from volume rebate incentive from suppliers as the Company’s purchase reach predetermined volumes
Company hereby clarifies the performance as follows: During 3 months ended the third quarter of 2019, the Company had the net profit of THB 569.6, which increased by 56.9% compared to the same period of
loan from financial institution was increased in an amounting of Baht 8.29 million due to receiving a loan to compensate for the purchase of land together with the construction of 2-storey buildings and