finished products, 24.01 percent are work in progress and 34.11 percent are raw materials. The Corporate Group conducts inventory inspection every month and has employed accounting policy for setting
follows. The net profit of the Corporate Group for Year 2019 was Baht 571.54 million. In comparison with the previous year with the net profit of Baht 422.85 million, the net profit increased by Baht 148.69
percent are finished products, 24.64 percent are work in progress and 30.69 percent are raw materials. The Corporate Group conducts inventory inspection every month and has employed accounting policy for
1,923 million. Net cash used in investing activities THB 1,655 million was mainly from an investing in new glass factory (SGA2), work in progress of beverage manufacturing facilities in Myanmar and new
and equipment increased by Baht 91.09 million due to the purchase of 21 branches, in accordance with the purchase asset agreement of Baht 66.17 million and construction in progress amounted to Baht
with the purchase asset agreement of Baht 66.17 million and construction in progress amounted to Baht 36.05 million. And non-current assets increased amount Baht 11.32 million consisting of deposits for
shareholder. - Property, plant and equipment were 14,547.08 million Baht, increased by 164.85 million Baht mainly from construction in progress including clarified water & total water solution projects
- Property, plant and equipment were 14,434.19 million Baht, increased by 51.96 million Baht mainly from construction in progress including clarified water & total water solution projects, Bangpakong pumping
was the construction in progress for Carnival Magic project., animals and plants of Baht 55.62 million much of the purchase of animals. Cash and cash equivalents decreased of Baht 106.87 million
progress reached 91%. The project is due to complete in 3Q19. • In February, the Company partnered-up with HKL (Thai Developments) Limited, a subsidiary of a global developer Hongkong Land Holdings Limited