, increased by 89.52 million baht - Other non-current assets were 289.04 million Baht, decreased by 53.53 million Baht mainly from decreasing in advance payment by 52.21 million Baht. 2) Liabilities At the end
baht. From receiving short-term loans and long-term from financial institutions in the amount of 12.74 million baht, receiving advance payment of 8.82 million products. And payment to buy property and
the installments shall be exempted, and then start paying in year 6-10 for amount of Baht 52.52 million per year equally. - The yearly leasing fee: The Company shall pay an advance payment in yearly
1 .5 0 % (because it was used in the operation). Account receivable and other receivable at Baht 15.38 million, increased by Baht 8.37 million or equivalent to 1 19 .43 %, mainly because of advance
due to advance payment and payment to the new office and warehouse construction contractor of Baht 28.62 million, Bonus payment to employees Baht 11.59 million and the acquisition of franchise rights
deferred tax of Baht 240.26 million and 111.41 million, respectively as a result of the business transfer, the advance payment, as per the construction contract of a subsidiary, of Baht 80.74 million gaining
expanding capacity in tap water concession. - Other non-current assets were 390.41 million Baht, increased by 39.50 million Baht from advance payment of the investment project. 2) Liabilities At the end of
, increased by Baht 6.54 million or equivalent to 93.28%, mainly because of advance payment for the rental – Changwattana branch in amount of Baht 1.96 million and accrued income – tour in amount of Baht 5.43
goods, Other payables from project work and Other payables from purchase Hemodialysis machines. Advance received was increased in an amounting of Baht 7.59 million due to advance payment of business for
(1.97) million mainly came from advance payment of medical service concerning healthcare and esthetics was decreased due to temporary stop operation because of Coronavirus disease (COVID-19). Other