follow: • Gain net cash flow from operating activities of Baht 2,453 million • Net cash used in investing activities of Baht 3,288 million which mainly used in the payment of construction for Baht 2,195
parent chicken and THB 1,008.11 million (5.07% of total assets) in investment in property and other non-current assets. Total assets as at June 30, 2020 increased in amount of THB 1,077.43 million or 5.72
paid for Baht 3,556 million. The details are as follow: • Net cash flow from operating activities of Baht 3,153 million. • Net cash flow from investing activities of Baht 4,411 million which mainly used
investing activities was -6.38 million baht, with regular investment in equipment and no major investment in this quarter. The financing part was net Baht -47.32 million by settlement of short term loan
residential property as well as for a long-term investment. Before starting every project, we carefully selecte locations and requirement of our target buyers. Although overall economy is soft, the Company’s
. Use of Funds The Company reported net cash outflow from investing activities of THB 1,575 million, mainly comprises; • THB 387 million for a net investment in Epicure Catering Co.,Ltd. and investment in
. Use of Funds The Company reported net cash outflow from investing activities of THB 1,575 million, mainly comprises; • THB 387 million for a net investment in Epicure Catering Co.,Ltd. and investment in
0.4% Earning before interest and tax 60.96 87.25 -26.29 -30.1% 198.28 253.44 -55.16 -21.8% Financial expenses -1.67 -1.22 -0.45 36.9% -4.30 -4.25 -0.05 1.2% Share of income from investment in associate
-36.3% Share of income from investment in associate 0.40 0.40 0.00 0.0% 0.66 0.80 -0.14 -17.5% Corporate Income tax expenses -17.77 -12.02 -5.75 47.8% -32.60 -23.75 -8.85 37.3% Net profit for the period
-1.22 -1.91 0.69 -36.1% -4.25 -6.67 2.42 -36.3% Share of income from investment in associate 0.58 0.42 0.16 38.1% 1.24 1.22 0.02 1.6% Corporate Income tax expenses -17.27 -13.11 -4.16 31.7% -49.88 -36.87