- (2.6) Cash Flows Description Unit: Million Baht Year 2020 Year 2019 Cash Flows from Operating Activities 537.37 404.66 Cash Flows used in Investing Activities (183.04) (72.35) Cash Flows used in
in tourism and export. The partial lockdown mandated in the last week of March resulted in a more pronounced slowdown in economic and business activities. Telecommunication sector was affected from
first quarter of the year 2018, the Company and its subsidiaries generated cash flows from operating activities amounting to Baht 1,572 Million. Cash used in investing activities amounting to Baht 2,383
mainly resulted from the dividend payment in the amount of THB 363 million. The Company and its subsidiaries have the cash flow from operating activities in the amount of THB 645 million, which decreased
also resulted in a cannibalization effect. Consequently, same store sales growth for HomePro did not meet target. However, in response to the above effects, the Company has organized various activities
also resulted in a cannibalization effect. Consequently, same store sales growth for HomePro did not meet target. However, in response to the above effects, the Company has organized various activities
Boonterm kiosk is Bt8,778mn or 64.6% YOY. The numbers of active subscribers are 24.2mn with 2.1mn transactions per day. The Company continuously organizes the marketing activities for customer base expansion
4,570.2 Non-controlling interests 1,032.1 765.1 743.1 Dusit Thani PCL Management Discussion and Analysis For the 2nd Quarter 2017 P a g e | 6 net cash from operating activities THB 180.4 million, net cash
Company and its subsidiaries have the cash flow from operating activities in the amount of THB 795 million, which increased by THB 13 million from the previous year resulting from decrease of corporate tax
% from December 31, 2018. For the 3 month-period ended 31 March 2019, the Company had cash from operating activities amounting to 19.60 million baht, cash used in investing activities amounting to 2.90