deposit of purchase machinery and equipment 10.9 million baht. For the six-month Period 2020 2019 Cash and Cash Equivalent on 1st January 172.2 291.7 Net Cash Provided by (Used in) Operating Activities 4.1
in Information and Communication Technology and the D–ticket Project of State Railway of Thailand. Furthermore, the important new projects in 2021, such as the Storage Purchase Agreement Project for
Company are machine and equipment rental, purchase of construction material and construction work for Highway No.7 Chonburi – Pattaya, and also survey of route at Kanchanaburi. The Company orders this
expenses (32,336) 2.84% (30,791) 4.05% (1,545) 5.02% Administrative expenses (356,481) 31.28% (316,722) 41.65% (39,759) 12.55% Other expenses - 0.00% (12,702) 1.67% 12,702 100.00% Gain from bargain purchase
Baht 6,563,700. Refer to the purchase of the said shares to eliminate the conflict of interest under the Notification of Capital Market Supervisory Board No. Tor Jor 39/2559 shall increase the Company's
1 of 2020, SAAM Group presented total liabilities of THB 133.21 million, mostly comprising long-term loans from a financial institution for SAAM-SP1 solar power project and SAAM-3 land purchase, and
in investing activities for the three-month period as of March 31, 2020 in amount of 4.9 million baht. Significant transactions were cash paid for deposit of purchase machinery and equipment 5.1
liabilities of THB 127.99 million, mostly comprising long-term loans from a financial institution for SAAM-SP1 solar power project and SAAM-3 land purchase, and trade and other payables. Total liabilities
แบบลีสซ่ิง (Leasing) การใหท้รัพยสิ์นแบบเช่าซ้ือ (Hire Purchase) การรับซ้ือลดบญัชีลูกหน้ี (Factoring) การใหบ้ริการรถเช่า (Maintenance Lease) ทุนจดทะเบียนและ ทุนเรียกช าระแลว้ : 500,000,000 บาท แบ่งเป็น
% (8,544) 1.01% 8,544 100.00% Bargain purchase of investment in a subsidiary 10,092 1.01% 2,342 0.28% 7,750 330.91% Gain on sale of investment in subsidiary - 0.00% 137,396 16.21% (137,396) 100.00% Reversal