specific 5G industrial use cases. Manage cost amidst pandemic to sustain profit In 2Q20, core service revenue was Bt32,285mn, -6.4%YoY and -2.4%QoQ mainly from COVID-19. Total cost amounted to Bt32,831mn
Discussion and Analysis for 3rd quarter ended as of September 30, 2020 Attention: President The Stock Exchange of Thailand AI Energy Public Company Limited (AIE) would like to submit the financial statement
to mid-single digit decline. EBITDA (pre- TFRS16) stood at Bt76,619mn, decreased –2. 7% YoY with focusing on cost control and in- line with low single digit decline EBITDA guidance. Net profit ( pre
. & Amor. 75.03 79.21 155.05 186.30 265.33 EBIT -4.02 79.86 99.36 363.44 227.91 Net Profit : Owners Of The Parent -25.09 44.47 41.60 238.15 130.72 EPS (B.) -0.02 0.04 0.04 0.28 32.68 Statement of Cash Flow
105.04 Net Profit : Owners Of The Parent 33.68 31.95 46.11 80.83 57.62 EPS (B.) 0.14 0.14 0.19 0.34 0.25 Statement of Cash Flow (MB.) 6M/2022 (01/01/22 -30/06/22) 6M/2021 (01/01/21 -30/06/21) 2021
Profit : Owners Of The Parent 1,818.06 726.68 725.51 438.75 EPS (B.) 0.76 0.34 0.46 0.31 Statement of Cash Flow (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19 -31/12/19
Registration Statement (56-1) and Annual Report (56-2) Opportunity Day 5/ ข้อมูลผลิตภัณฑ์ Filing Other Information Tender Offer List of management who submitted the changes in securities holding report (59-2
Depre. & Amor. 26.61 5.10 2.07 1.85 EBIT 145.69 78.33 61.54 40.31 Net Profit : Owners Of The Parent 105.22 53.78 43.47 29.68 EPS (B.) 0.36 0.26 0.28 53.17 Statement of Cash Flow (MB.) 2021 (01/01/21 -31
Profit : Owners Of The Parent -332.42 -634.66 179.75 293.96 EPS (B.) -0.55 -1.06 0.30 0.49 Statement of Cash Flow (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19 -31/12/19
52.57 53.73 55.66 EBIT 239.04 88.11 162.12 161.47 255.64 Net Profit : Owners Of The Parent 158.66 50.45 101.36 86.95 143.59 EPS (B.) 0.41 0.13 0.26 0.23 0.37 Statement of Cash Flow (MB.) 9M/2022 (01/04