period last year. Net profit Second Quarter 2019 Second Quarter 2020 Presales 7,290.0 6,578.0 Total revenues 3,336.5 3,292.4 Profit attributable to Equity holders of the Company 737.3 707.1 Gain on
Company had financial flexibility with strong balance sheet supported by low net interest bearing debt to equity of 0.09 time. Unit: THB mn 31-Mar-18 % to total assets 31-Dec-17 % to total assets Chg Cash
period of the first quarter of 2020, amount of 147.5 million baht, or 6.1% from the total revenue, a decrease of 44.5 million baht, or 23.2%. VI Profit attributable to Equity holders of the Company The
(Unit: Million Baht) 30 September 2017 31 December 2016 Difference (%) Total assets 52,496 53,014 (518) (1) Total liabilities 28,633 30,075 (1,442) (5) Total shareholders’ equity 23,863 22,939 924 4 1
Baht) Year Increase (Decrease) 2019 2018 Amount % Total Assets 449.60 464.82 (15.22) (3.27) Total Liabilities 104.48 99.21 5.27 5.31 Total Shareholders’ Equity 345.12 365.61 (20.49) (5.60) Assets The
, liabilities and shareholders' equity as follows; Transaction For the Year ended 31st December (Unit: Million Baht) Year Increase (Decrease) 2017 2016 Amount % Total Assets 480.16 508.14 (27.98) (5.51) Total
Increase (Decrease) % Total assets 363.57 379.77 (16.20) (4.27) Total liabilities 92.87 98.80 (5.93) (6.00) Total shareholders’ equity 270.71 280.97 (10.26) (3.65) Significant movement of assets, liabilities
17.01 319.86 Total revenues from medical services 144.88 121.38 23.50 19.36 400.68 340.79 59.89 17.57 Cost of services (127.16) (112.06) (15.09) 13.47 (362.39) (319.63) (42.76) 13.38 Revenues from dental
1,561.2 1,594.9 (33.7) (2.1) Total shareholders' equity 3,626.6 3,061.2 565.4 18.5 Share Subscriptions received in advance from exercise of warrants increased by 599. 0 MB, representing an increase of 100
Million. Significant Financial Ratios* For the third quarter of the year 2017, the Company had Net Profit Margin ratio at 23.94 percent, Return on Equity ratio at 9.97 percent, Return on Total Assets ratio