CMG revenues when goods are ready for transfer to customers and not when it has been transferred. This impacted the Company and its subsidiaries’ financial statement on total sales and net profit either
(for three-month period ended 31 March 2020) 6 U CITY PCL RESIDENTIAL SEGMENT JV WITH SANSIRI: PROJECTS EXPECTED TO TRANSFER IN 2020 JV WITH SANSIRI: TOTAL PRESALES BACKLOG Project Presales Backlog (THB
รา้งเพ่ิมเตมิ 2. โครงการลงทนุระบบบาํบดันํา้เสยีในประเทศพมา่ เป็นงานลงทนุในลกัษณะ Build Own and Transfer (BOT) ปัจจบุนั ไดเ้ริม่ดาํเนินการก่อสรา้งแลว้บางสว่น แตบ่รษัิทมีแผนจะยกเลกิขอ้ตกลงสมัปทานดงักลา่ว
segment in this quarter was 92.7%. RESIDENTIAL SEGMENT JV WITH SANSIRI: PROJECTS EXPECTED TO TRANSFER IN 2020 JV WITH SANSIRI: TOTAL PRESALES BACKLOG Project Presales Backlog (THB mn) THE BASE Sapaan Mai
from financial institutions 1.26 million Baht, interest expenses 0.07 million Baht and cash paid asset transfer, debt repayment of debentures in the amount of 25.46 million Baht. Please be informed
% - Other Revenue from Utilities Business2 112.7 25.4 343.7% - Power Business 10.2 3.2 221.8% Costs of Sales and Services (1,164.4) (1,120.0) 4.0% Gross Profit 692.8 588.3 17.8% Gross Profit from Operation3
that for the 2nd quarter 2020, the situation concerning consumer purchasing power and spending still have to be closely monitored. If the government sector is able to control the outbreak of Covid-19 and
514.99 million or 125.05% because of the payment for reservation in content rights to support the growth of the business amounting to THB 670.85 million and the acquisition of program rights by transfer
Group”) as follow: THB Mn THB Mn THB Mn % Sales of goods and services 1,115.7 1,110.5 5.2 0.5 Revenue from finance lease under power purchase agreement 100.9 102.3 (1.4) (1.4) Revenue from construction
2,255.2 (0.0%) Revenue from finance lease under power purchase agreement 103.2 100.9 102.8 1.9% (0.4%) 205.5 203.7 (0.9%) Revenue from construction under a concession arrangement 68.5 131.3 398.1 203.2