of 8.90 million bath due to the loss of company operating results and the company use cash to invested in buying shares of associated companies. The trade accounts receivable decreased by 14.83 million
the revenue. Yes, for the same period in the previous year Due to the decline in shipping volume of automotive parts and Solar Panel customers, and the customers who use ocean freight services, the
contact directly to others that align with its vision, which focuses on the use of automatic kiosks. The Company expects total usage amount and revenues would be back to normal level in the second half of
asset from financial lease to Right of use Asset followed to TFRS 16 Leases. Right of use Asset was increased in an amounting of Baht 78.64 million. Mainly came from the company has recognize all of
. 8/2020 held on 25 June 2020 passed a resolution approving and ratifying the land purchase transaction. In Chonburi province, consisting of 3 plots, for use in the water supply project. The said
7.2% Investment in joint venture and associates 2,129 23.2% 2,030 23.1% Property, plant and equipment 877 9.5% 861 9.8% Right-of-use assets 2,233 24.3% 2,033 23.2% Goodwill and Intangible assets 1,467
the revenue. Yes, for the same period in the previous year Due to the decline in shipping volume of automotive parts and Solar Panel customers, and the customers who use ocean freight services, the
right of use following adoption of the Thai Financial Reporting Standards: TFRS 16 on Leases, which added to the land lease amount from the previous year. In Quarter 3 of 2020, SAAM Group’s gross profit
% Right-of-use assets 2,233 24.3% 1,993 22.0% Goodwill and Intangible assets 1,467 16.0% 1,434 15.8% Other assets 624 6.8% 717 7.9% Total assets 9,187 100.0% 9,060 100.0% Total assets as of 30 September
purchases of fixed assets 40.4 53.5 (13.1) (24.5) Rights to service under concession arrangements (net) 1,618.5 1,639.5 (21.0) (1.3) Right-of-use assets (net) 38.9 37.4 1.5 4.0 Deferred tax assets (net) 79.9