payment schedule Others 5,337 1.8% 5,165 1.7% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 290,505 100% 296,634 100% 2019 7,789 3,364 - 4,020 Trade payable 18,422 6.3% 18,704 6.3% 2020 - 14,829 3,128
-month and Six-month Periods Ended 30 June, 2019 Page 9 4. Analysis of statement of financial position 4.1 Analysis of assets As at June 30, 2019, the total assets were Baht 99,156.02 million, decreasing
Schedule License payment schedule Others 2,062 0.7% 5,337 1.8% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 284,067 100% 290,505 100% 2019 7,789 9,264 - 4,020 Trade payable 14,686 5.2% 18,422 6.3% 2020
million baht or 5.79 percent respectively from the trade situation. war affects customers in the electronic tonic group Which is the customer in the main target group of the company in which customers
the net trade debt repayment of USD 123,899,729, or equivalent to THB 4,275,683,281.33, under the debt to equity conversion scheme where the conversion price will be fixed at THB 0.1961 per share
Group”) for the net trade debt repayment of USD 123,899,729, or equivalent to THB 4,275,683,281.33, under the debt to equity conversion scheme where the conversion price will be fixed at THB 0.1961 per
18.81 million bath due to the loss of company operating results and the company use cash to invested in buying shares of associated companies. The trade accounts receivable decreased by 0.66 million baht
expand the customer base for both brands. Expand Product Sales Through Modern Trade Channels by Introducing Products to 7-Eleven Stores In July 2024, the Company expanded its distribution channels to 7
% Other non-current assets 170 160 +6% Total non-current assets 2,649 2,284 +16% Total Assets 4,677 4,390 +7% Bank overdrafts and short-term loans from financial institutions 1,670 1,328 +26% Trade payables
Memorandum Regarding the Acquisition of Assets of Demeter Corporation Public Company Limited (Schedule 1) Demeter Corporation Public Company Limited (the “Company”) would like to inform that the Board of