increased compared to the same quarter of prior year by Baht 2 0 . 8 3 million or equivalent to 16.55% resulting gross profit at Baht 17.72 million, net profit at 0.03 million and For the 9 months period of
% increased, due to the increased sale of Flexible packaging compared to last year. Other income for Q2, 2020 are 1.03million baht compare to 0.66 million bath last year, with 0.37 million baht increase with no
-month period ended June 30, 2020, the Company and its subsidiary’s revenue from sales of goods was in the amount of 118.75 million baht, increased by 31.14 million baht or 35.54% of the same period of
increased from Q2-2021 and Q3-2020. This is because in Q3-2021, the Company began to generate rental income from the project of leasing the communication network system for services of Social Security Office
the 9 months ended September 2019, East Water Group had total consolidated sales and services income of 3,520.24 million Baht, increased by 349.33 million Baht or 11.02% compared to the same period of
the year 2019, East Water Group had total consolidated sales and services income of 4,680.08 million Baht, increased by 459.09 million Baht or 10.88% compared to the year 2018 as the raising in raw
net profit increased by THB 215.7 mm or 17.4%. If considering only 3-month period ending 30 September 2018, the net profit was THB 363.0 mm, which decreased by THB 142.8 mm or 28.2%, however if
stable whilst the cost for import scraps is continuous increase. However, in the third quarter of 2018, the Company had the sale revenues and sale volumes increased in significantly, which can summarized
. Page 3 of 11 Expenses Selling and distribution expenses In Q3/2019, selling and distribution expenses was slightly increased at Baht 0.4 million from same quarter last year but recorded a decrease of
million. The increase of Baht 91.4 million, mainly derived from sales of biomass power plants which increased by Baht 15.8 million as the result from revenue recognition of biomass power plant in Khlong