short- term borrowings with financial institutions including bank overdraft in amount of THB 242.00 million and short-term loans, letters of credit, trust receipts, packing credit and forward foreign
receipts, packing credit and forward foreign exchange contract in amount of THB 7,461.21 million. Capital Structure The Company and its subsidiaries had strong financial position. As at June 30, 2019, the
short-term loans, letters of credit, trust receipts, packing credit and forward foreign exchange contract in amount of THB 7,786.38 million. Capital Structure The Company and its subsidiaries had strong
revolving short- term borrowings with financial institutions including bank overdraft in amount of THB 242.00 million and short-term loans, letters of credit, trust receipts, packing credit and forward
and short-term loans, letters of credit, trust receipts, packing credit in amount of THB 7,294.15 million and forward foreign exchange contract in amount of THB 1,014.73 million. Capital Structure The
Packaging มยีอดขายทีเ่พิม่ขึน้จากปีก่อน เนื่องจากการขยาย ตลาดของบรษิทัในช่วงทีผ่่านมา และสถานการณ์โควดิ-19 มผีลใหล้กูคา้กลุ่มขา้วสารทีม่ ีPacking Size ขนาดเลก็ (1kg ,2kg ,5 kg) สัง่ซือ้ถุงขา้วในปรมิาณมากขึน้
institutions including bank overdraft in amount of THB 242.00 million and short-term loans, letters of credit, trust receipts, packing credit and forward foreign exchange contract in amount of THB 8,259.02
, precast concrete, special cement and architecture was increased. (2) Cost of sales The Company and its subsidiaries’ total cost of sales in the second quarter of 2018 was Baht 441.81 million, increased by
-2 Ranking SFT SHRINKFLEX (THAILAND) PUBLIC COMPANY LIMITED Filing FinancialStatement 56-1 56-2 Ranking SCCC SIAM CITY CEMENT PUBLIC COMPANY LIMITED Filing FinancialStatement 56-1 56-2 Ranking SIAM
14, 2017. The company realized loss in proportion to the investment of 43.84% or 9.47 million baht due to transport cement business margins badly. The company has changed its strategy and the