Carnival Magic project and cash and cash equivalents and temporary investment increased of Baht 57.38 million as significant. 4 Liabilities As at March 31, 2019, the Company and its subsidiaries had total
KHANJANAPISEK RD., BANGKAE, BANGKAE, BANGKOK, THAILAND. 10160 Tel: 02-455-2888 Fax: 02-455-2763 31 March 2019 31 December 2018 Increased (Decreased) Percentage Assets Current assets Cash and cash equivalents
end of the previous year (end of 2018: THB 445.12) mainly due to the decrease in cash and cash equivalents of THB 24.30 million, resulting from long-term loan repayment of THB 19.55 million. Liabilities
gain on disposal PPE amounting to 1.09 Million Baht, LPG Depot rental income amounting to 1.16 Million Baht, as well as training service income amounting to 0.28 Million Baht. 5. Selling expense
ษัิทในงวดสำมเดอืนและหกเดอืนเพิม่ขึน้จำก 11.1% มำอยูท่ี ่11.3% และ จำก 12.0% มำอยูท่ี ่12.6% ตำมล ำดบั เนือ่งจำกบรษัิทสำมำรถลดตน้ทนุไดใ้นสดัสว่นทีม่ำกกวำ่คำ่ใชจ้ำ่ยกำรตลำดทีเ่พิม่ขึน้ บรษัิทม ีcash cycle
in the current year and expected to recognize a total of revenue in this year as well. Revenue from Sales There was no any revenue from sales in this quarter whereas the sale income in the same quarter
in cash and cash equivalents, resulting from the repayment of short-term borrowings from financial institution of THB 280.05 million in order to reduce the financial cost of the Company. Liabilities
Cash and cash equivalents 303.01 347.12 (44.11) (12.71%) Temporary investments 40.85 40.65 0.20 0.49% Trade and other receivables 297.63 349.82 (52.19) (14.92%) Inventories 142.57 31.94 110.63 346.37
3,561.21 million baht, a decreased in the amount of 119.20 million baht, by following reasons. Cash and cash equivalents amount of 106.97 million baht had a net increase of 3.85 million baht when compared
Increased (Decreased) Percentage Assets Current assets Cash and cash equivalents 284.14 347.12 (62.98) (18.14%) Temporary investments 40.48 40.65 (0.17) (0.42%) Trade and other receivables 341.72 349.82 (8.10