4,570.2 Non-controlling interests 1,032.1 765.1 743.1 Dusit Thani PCL Management Discussion and Analysis For the 2nd Quarter 2017 P a g e | 6 net cash from operating activities THB 180.4 million, net cash
Company and its subsidiaries have the cash flow from operating activities in the amount of THB 795 million, which increased by THB 13 million from the previous year resulting from decrease of corporate tax
% from December 31, 2018. For the 3 month-period ended 31 March 2019, the Company had cash from operating activities amounting to 19.60 million baht, cash used in investing activities amounting to 2.90
year 2017. Cash Flows For the six months of the year 2018, the Company and its subsidiaries generated cash flows from operating activities amounting to Baht 4,265 Million. Cash used in investing
promotional activities to stimulate customer spending. HomePro Fair was held in Muang Thong Thani in July, as well as further HomePro Fair events in growing locations such as Hat Yai. Additionally, a
Company and its subsidiaries have the cash flow from operating activities in the amount of THB 609 million, which increased by THB 60 million from the previous year resulting from ( 1) the increase of the
-month /2017 due to the introduction of 5 new branches. The Group had other revenues of THB 6.57 million, higher than THB 5.88 million in 9 –month 2017 from marketing activities services rendered. Cost of
2Q2020 Airline Business Due to the outbreak of COVID-19 continually spreads and intensified which tremendously affect the airline industry. The Company decidedly concerned our operational activities to be
provides services. Page 2 of 7 Table summarized the operating results of the Group (unit : Bt million) This situation significantly affects the Company and its subsidiaries’ business activities in terms of
promotional activities to prompt customers’ spending, such as organizing the HomePro Fair at Muangthong Thani and in Hat Yai, as well as the ‚23rd Anniversary Day‛ campaign during 29th August – 29th September