same period of previous year. The main reasons for the substantial difference are as follows: • Costs of sales electricity and service for the three-month period ended June 30, 2019 was Baht 39.89
same period in the previous year (YoY). The main difference came from the transfer of residential units between both years as the majority of the transfers will be made towards the second half of this
€11.11 (0.9) (2.93) 37.7985 €11.59 (7.3) (26.65) CNY 4.5509 ¥8.47 4.5919 ¥8.79 (0.9) (0.35) 4.8923 ¥11.48 (7.0) (2.89) Total effect (1.56) (45.64) 2) A change of main raw materials price Table 2: Raw
90.6% 47.53 4.2% (a) Total assets Total asset as at Jun 30, 2019 stand at 1,288.51mb, an increase of 62.53mb or 5.1% . The main reason for the increase is due to higher trade receivables and cash on hand
) and Thai customers continue to support, in which this group of customers is the main proportion. Page 3 For the six-month period ended 30 June 2019, revenues from hotel business of 646.47 THB mm
Baht 140 million year-on-year, from Baht 691 million. The main reason is due to the Company cease recognizing interest income on loan to SGAH for Q2 2019 (3 Months) and lower shared of profit from
1,119.64 91.3% 1,167.17 90.6% 47.53 4.2% Equity 1,119.64 91.3% 1,167.17 90.6% 47.53 4.2% (a) Total assets Total asset as at Jun 30, 2019 stand at 1,288.51mb, an increase of 62.53mb or 5.1% . The main reason
gross profit margin was mostly from cost management lowering the price of raw material, the main part in cost of sales. In addition, menus of the month launched early this year yielded higher gross profit
several industries other than the main businesses of the Company (one of which is transportation business). After the disposal of its investment in NML, the Company would proceed with its strategies and
by 2.89 million baht or 20.96% of net profit from same period of 2017. The main reason was from an increase in revenue from sales that was changed accordingly in the same direction of the expansion of