(31%) Equity Unit trust Fixed income Operator %total UT BlackRock Invesco JPMorgan Asset Management Allianz PIMCO 12% 9% 8% 5% 5% Total 40% 0% 93% 6% Corp. Deposit FI Debt instrument Issuer %total FI
%) Equity Unit trust Fixed income Operator %total UT BlackRock JPMorgan Asset Management Invesco Allianz Wellington Management 13% 9% 7% 6% 5% Total 39% 0% 92% 7% Corp. Deposit FI Debt instrument Issuer
%) Equity Fixed income Unit trust Operator %total UT BlackRock JPMorgan Asset Management Allianz Wellington Management Invesco 13% 9% 6% 5% 5% Total 39% 0% 93% 6% Corp. Deposit FI Debt instrument Issuer
income fund* SEC, Thailand Equity fund Mixed fund Alternative investment fund Country concentration**Foreign investment asset class (TB) **Based on foreign direct investment (unit trust not included
%) Equity Unit trust Fixed income Operator %total UT BlackRock JPMorgan Asset Management Wellington Management Allianz PIMCO 13% 9% 6% 5% 5% Total 39% 1% 92% 5% Corp. Deposit FI Debt instrument Issuer
%) Equity Unit trust Fixed income Operator %total UT BlackRock JPMorgan Asset Management Wellington Management PIMCO Allianz 13% 9% 6% 5% 5% Total 38% 2% 65% 29% Corp. Deposit FI Debt instrument Gov. Bond 4
%) Equity Unit trust Fixed income Operator %total UT BlackRock JPMorgan Asset Management Wellington Management PIMCO Allianz 13% 9% 6% 5% 5% Total 38% 2% 87% 7% Corp. Deposit FI Debt instrument Issuer
%) Equity Unit trust Fixed income Operator %total UT BlackRock JPMorgan Asset Management Wellington Management PIMCO Allianz 13% 10% 6% 5% 5% Total 39% 3% 75% 19% Corp. Deposit FI Debt instrument Gov. Bond
, land & building, cash and account receivable to total asset were 48.86%, 31.84%, 11.22% and 5.06% The company’s total liabilities was THB 66.03 million. The company’s shareholders' equity was THB 756.41
Statements (Million Baht) 2017 2016 2017 2016 Total revenues 403.05 381.77 403.03 381.77 Profit (loss) attributable to Equity holders of the Company 62.07 58.43 62.38 58.43 Total revenues of the Company and