Separate Financial Statement as of 30 Jun 19 as of 31 Dec 18 %Variance as of 30 Jun 19 as of 31 Dec 18 %Variance 14. Cash and cash equivalent 414.39 387.72 6.88% 224.94 282.09 (20.26%) 15. Trade debtors and
SAAM-3 land purchase, and trade and other payables. Total liabilities decreased by THB 30.58 million or 20.64% from the end of the previous year (end of 2018: THB 148.13 million) mainly due to decrease
Assets Current assets Cash and cash equivalents 149.50 212.68 (63.18) (29.71%) Temporary investments 40.83 59.90 (19.07) (31.84%) Trade and other receivables 323.19 255.88 67.31 26.31% Unbilled receivables
% Current investments 100.00 8.2% 25.12 1.9% (74.88) (74.9%) Trade & Other receivable 118.32 9.7% 146.29 11.4% 32.43 28.5% Other current Asset 2.14 0.1% 1.74 0.1% (0.40) (18.7%) Other long-term investments
% Change YoY % YoY Assets Cash 111.34 9.1% 122.73 9.5% 11.39 10.2% Current investments 100.00 8.2% 25.12 1.9% (74.88) (74.9%) Trade & Other receivable 118.32 9.7% 146.29 11.4% 32.43 28.5% Other current Asset
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
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
173.12% 15. Trade debtors and other debtors 529.20 443.61 19.29% 441.24 367.59 20.04% 16. Land and project costs during construction 11,066.83 11,469.21 (3.51%) 9,867.41 10,206.52 (3.32%) 17. Backlog
million. Trade and other current receivables decreased from the refundable of value added tax from the Revenue Department of Baht 119.20 million. Other non-current assets decreased of Baht 109.63 million
as of 31 Dec17 %Variance 14. Cash and cash equivalent 401.33 356.46 12.59% 291.58 210.42 38.57% 15. Trade debtors and other debtors 406.15 443.61 (8.44%) 313.96 367.59 (14.59%) 16. Land and project