. Cost from sale and installation of the pipeline for the quarter 1/2018 was 86.58% of income in 1.1. It increased compared to the quarter 1/2017 which was 77.84% of income. The major reason came from the
days of credit term The reason In order to reduce outstanding of unused equipments and create maximum benefits for the Company and its subsidiary, CCCS sold equipments to Kinpo-China. The total
USD 36,079 or approximately Baht 1,181,648.58 Pricing policy At Book value (transaction amount) and near market value Payment term By cash in advance The reason The Company sold the unused equipment to
and explanation For the three-month period ended 31 March 2020, the Company’s sales increased by Baht 149.9 million or 13.6% compared to the same period of 2019. The main reason was that CPO price
revenue: The Group had total revenue in the 2nd quarter of 2020 amounting to Baht 232.0 million, a reduction of Baht 129.3 million or 35.8% compared to the same period last year. The primary reason is the
activity at their own residences or public activity. On the aforementioned reason, the company is concerned about hygiene and the safety of the attendees, shareholders and the team of all parties. The Board
%. The main reason was Baht appreciation more than the corresponding period of previous year. That led to the decrease in cost of inventories. Exchange rate during Q1/2020 was between 30.28 – 33.09 Baht
decreased as HPC generated less electricity than that in the same period of the previous year. The main reason due to the Power Plant unit 3 had planned maintenance shutdown (Major Overhaul) from April to
, decreasing by THB 380.44 million. The main reason was the recognition of loss on foreign exchange as AUD currency depreciated in relative to USD currency. However, the operating result for the 1st quarter of
fuel costs of THB 30,302.81 million). The main reason was the cost of sales and rendering of services of RATCH Cogeneration Company Limited, a subsidiary, has been consolidated in the amount of THB