12.7 2.1.3 ตน้ทุนโครงการภายใตส้ัญญาสัมปทานจ านวน 1,651.8 ลา้นบาท ประกอบดว้ย อุปกรณ์ อาคารและส่ิงปลูก สร้างสถานีบริการจ านวน 96.4 ลา้นบาท อุปกรณ์ท่อทางใตล้านจอด (Hydrant equipment) จ านวน 1,052.2 ล้านบาท
Investment Activities amounted to 232.94 million Baht. This was mainly due to the investment in property, plant and equipment as well as advance payments for construction in an amount of 82.64 million Baht
sale of related equipment to Boonterm kiosk such as roof stand, cement base, coin counting machine in 2017 higher than in 2018. 3) Net profit for the year 2018 was Bt583.10mn, an increase of 7.4
) Investments in associates of Baht 12,630.9 million, (ii) Building and Equipment (net) of Baht 3,214.3 million (iii) Goodwill of Baht 2,772.9 million, (iv) Intangible assets of Baht 1,955.7 million and (v) Short
and equipment. Cash spent as working capital to acquire other assets such as higher inventories or loan payments to financial institutions mainly contributed to the decline in total assets. Total
. During the year, the main causes increased from acquisition of its subsidiary such as a bank deposit guarantee Baht 0.9 million, Goodwill is Baht 94.4 million and Property, Plant and Equipment (PP&E
, plant and equipment Mr. Geza Perlaki Mr. Krishnan Subramanian Aylur Authorized Director Authorized Director Unit: Million Thai Baht (THB) FY 2019 YTD FY 2018 YTD YoY change YoY % change Cash and cash
equipment of the MRT Blue Line Project in the amount of Baht 6,841 Million, payment for constructions of U-turn bridge for cars and motorcycles on the railroad roads, and maintenances of the Si Rat-Outer Ring
Company's total assets at year ended 2019 was 449.60 million baht, with the proportion of the asset consisting of current assets at 78.44%, Property, plant and equipment at 17.36% and other assets at 4.20
and equipment. Cash spent and repayments of loans from financial institutions. Total Liabilities As of 31 December 2019, the Company held total liabilities of THB 194.12 million, falling at a rate of