% 1,169,345 19% 1,169,694 16% 1,169,694 18% Warrants 11,726 0% 14,511 0% 25,057 0% 29,627 0% Other components of equity 24,844 0% (4,250) 0% (4,232) 0% (4) 0% Retained earnings (Deficit) - 0% - 0% - 0% - 0
) Other Components of Equity Increase / (Decrease) (472.33) (488.75) Non-Controlling Interests Increase / (Decrease) (689.90) (640.06) Total Equity - Restated 59,009.50 58,282.67 Unit : Million Baht Quar
Liabilities - Restated 34,784.91 37,811.27 Equity Total Equity - Previously Reported 63,281.18 62,452.77 Retained Earnings Increase / (Decrease) (3,109.45) (3,041.29) Other Components of Equity Increase
capital 231.0 2,497.0 Retained earnings 3,011.3 2,508.7 Surplus on business combination under common control 328.0 353.1 Other components of SE -239.5 -429.5 Non-Controlling Interest 108.6 202.9 Total
% Total Liabilities 3,226 2,778 +16% Authorized share capital 140 140 +0% Issued and fully paid-up share capital 140 140 +0% Share premium 6 6 -0.0% Retained earnings 1,068 1,270 -15.9% Other components of
subsidiaries THB 1,300mn, and (iii) cash paid for purchase of investment properties THB (1,331)mn. Net Cash used in financing activities was THB (807)mn. The key components were cash received from long-term
% Share premium 6 6 0.0% Retained earnings 628 829 (24%) Other components of equity 225 189 19.1% Deduct: Treasury stock (114) (114) 0.0% Total equity of parent Company's shareholders 885 1,049 (16%) Non
construction. As of 31 March 2020, the Company had total equity of THB 18,313 million, an increase of THB 290 million (or +1.6%) from 31 December 2019. The increase in other components of equity was due to the
, decreased by Baht 1,395.6 million from Baht 13,559.3 million at the end of 2019, mainly due to a decrease of Other Components of Equity of Baht 1,498.2 million from unrealized loss from financial instrument
joint ventures and associated companies THB 21mn. Net Cash used in financing activities was THB (379)mn. The key components were repayment of long-term loans from financial institutions of THB 229mn, and