1,481.69 million, decreasing by Baht 1.59 million or 0.11% from end of 2018, mainly due to net loss. Cash Flow Statement Analysis Unit : MB For the period ended Change 31 March 2019 31 March 2018 MB % Cash
blockchain / smart contract เป็นต้น มาใช้ในกระบวนการจัดการเงินค่าจองซื้อหุ้น (2) เพื่อให้ผู้ลงทุนมีช่องทางในการ exit หรือขายหุ้นออกได้ง่ายขึ้น โดยปรับปรุงกฎเกณฑ์ให้ funding portal สามารถทำหน้าที่ตลาดรองเพื่อ
230 mn Project Risk HSMC is exposed to the foreign exchange rate movement due to the revenue is denominated in USD Expected Benefit Company expects that projects shall create the IRR of at least 10% 4.2
period of 2016. The main reasons is from economic slowdown which affected advertising revenue decreased by 10% and circulation revenues of newspaper, pocket books and children books decreased by 25%. 2
period of 2019 decreased by 10% compared to the same period of 2018. The main reasons is from consumers have change behavior which affected circulation revenue decreased by 16% whereas advertising revenues
period of 2019 decreased by 10% compared to the same period of 2018. The main reasons is from consumers have change behavior which affected circulation revenue decreased by 16% whereas advertising revenues
ended 30 June 2017 of Baht 17.6 million. Cash Flow Statement Cash Flow Statement for the six-month period ended 30 June 2017, the company has cash and cash equivalent transaction net decrease, increased
liability increased by Baht 1.2 million Shareholders’ Equity Net loss from company’s operating result for the nine-month period ended 30 September 2017 of Baht 15.9 million. Cash Flow Statement Cash Flow
Flow Statement Cash Flow Statement for fiscal year ended 31 December 2017, the company has cash and cash equivalent transaction net increased from 31 December 2016 in Baht 11.7 million by separate cash
’ Equity Net loss from company’s operating result for the three-month period ended 31 March 2018 of Baht 21.5 million. Cash Flow Statement Cash Flow Statement for the three-month period ended 31 March 2018