the cost of construction, show equipment, theme park design and decoration, service fee for specialist and interest expense, while the remaining THB 548 million accounts for land acquisition and
............................................................................................................... 14 Table 9: IVL Consolidated Statement of Income .............................................................................................. 15 Table 10: IVL Consolidated Statement of Financial
............................................................................................................... 14 Table 10: IVL Consolidated Statement of Income ............................................................................................ 15 Table 11: IVL Consolidated Statement of Financial
............................................................................................................... 14 Table 10: IVL Consolidated Statement of Income ............................................................................................ 15 Table 11: IVL Consolidated Statement of Financial
IVL Consolidated Statement of Income 16 Table 11 IVL Consolidated Statement of Financial Position 17 List of Figures Figure 1 Regional Performance 5 Figure 2 PTA-PET Integrated Margin ($/MT) 7 Figure 3
Ventures Performance 15 Table 10 IVL Consolidated Statement of Income 16 Table 11 IVL Consolidated Statement of Financial Position 17 List of Figures Figure 1 Regional Performance 5 Figure 2 PTA-PET
COMPANY LIMITED Management’s Discussion and Analysis KEY FINANCIAL HIGHLIGHT Sales and Service Income • Sales and service income increased 25.8% y-on-y from Baht 8,156 million in Q1’2018 to Baht 10,257
of Core Profit After Tax and NCI to Reported Net Profit 16 Table 6 Cash Flow Statement 16 Table 7 Debt Profile 17 Table 8 Joint Ventures Performance 17 Table 9 IVL Consolidated Statement of Income 18
Statement of Income………………………………………………..…… 19 Table 11 IVL Consolidated Statement of Financial Position…………..………………………… 20 Table 12 Planned Turnaround Schedule……………………………………………………………...... 21 List of Figures
Revenue 174.77 99.55 376.83 99.83 2. Other Revenue* 0.80 0.45 0.66 0.17 Total Revenue 175.56 100.00 377.49 100.00 Remarks *Other Revenue comprises of interest income, FX gain, etc. Information and