prior year. The total income was 1,071.18 million baht, an increase of 66.84 million baht or 6.66%, the financial cost was 249.84 million baht, an increased of 13.28 million baht or 5.61% from the same
The company’s income from energy business in Q1/2020 was Baht 82.41 million, increased from Q1/2019 the company’s income from energy business was Baht 84.87 million. 1.3 The company’s income from design
previous fiscal year. The sale growth rates compared to the previous fiscal year are from our 3 business categories as follows: - Aeroflex increased 5.0% - Aeroklas decreased 10.4% - Eastern Polypack
sale by 28.64 million Baht or 11.12% from the same period of the last year. However, the company inccurred revenue from export sales of 174.69 million Baht, increased by 13.37 million Baht or 8.3% from
, increased 21 million baht or 1351% compared to the same period last year. The increase was mainly from interest income and bad debt and doubtful accounts (reversal). Distribution costs In the third quarter of
/2020) In the Q3/ 2 0 2 0 , the company performed consistently good performance from the previous quarter. The transportation of electronic products has also increased significantly. In addition, products
, increased by 10.10 million Baht or 3.73% from the same period of the last year which showed 270.50 million Baht. Futhermore, the company generated revenue from hotel business of 14.10 million Baht, decreased
expenses and provision for impairment of property, plant and equipment. Share of loss from investment in associates increased by Baht 3 million mainly relates to share of loss from Thai Wah Plc. Finance cost
Chairman of AC, the Deposal and Acquisition of Assets, IFA, offering and allocation of the increased capital (PP), Schedule for the E-EGM No.01/2021 06/09/2021 12:50 Notification of the Resignation of
bad debt recovery for the fiscal year 2021 were 1,423 million baht grew by 16% y-y and for the fourth quarter of 2021 were 404 million baht increased 6% q-q and 19% y-y respectively. Details of each