effective since January 1, 2020. Net Profit (Loss) for the Period (3 months) Results of operations for quarter 1/2020, the Company has a net profit of Baht 33.86 million, while quarter 1/2019, the Company had
customer. In addition, the outbreak of COVID-19 has affected most businesses and industries, such as supply chain systems, consumer spending or production disruptions, as well as delayed operations
Period (6 months) Results of operations for quarter 2/2020, the Company has a net profit of Baht 58.54 million, while quarter 2/2019, the Company had a net profit of Baht 36.79 million. The increasing of
period in 2019 due to the COVID-19 outbreak. This outbreak has caused the number of businesses to slow down their investments, reduce the production, cease the operations, and close down certain parts of
institution. Net Profit (Loss) for the Period (12 months) Results of operations for the year 2019, the company had a net profit of Baht 87.51 million, while in 2018, the company had a net loss of Baht 81.03
operations. - Sales income SAAM Group’s income from sale of electricity is generated from a 2.0 MW solar power project in Thailand which is operated by SAAM-SP1. In Quarter 1 of 2020, electricity sales are THB
cashier boxes and at dispensing areas in order to boost the confidence of customers. In terms of personnel, the company has made preparations in terms of personnel, daily operations, IT system crucial to
reason for the increase is due from right to use assets according to TFRS16 from office lease agreement. Cash surplus increased by 55.47mb or 34.8% due to cash flow generated from operations and good
operations 3. Revenue from Logistics Management for the three-month periods ended March 31 , 2020 and March 31 , 2019 equals 90.10 million baht and 86.94 million baht, respectively, an increase of 3.16 million
selling and administrative and able to manage normal operations to be within the same criteria. For the financial cost which increased amount THB 1.2 MB, most of which increased from interest from bank