sales of current investments of THB 10mn. Net cash received from financing activities was THB 405mn. The key components are cash received from 1) RO proceeds of THB 328mn and capital increasing in VGI
adjustment of investments in available-for-sale securities which presented under other components of shareholders' equity. (Translation) Bangkok Expressway and Metro Public Company Limited Management
with shareholders' resolution in the Annual General Meeting of Shareholders in April 2019 decreased retained earnings in the amount of Baht 1,812.50 million. (3) Other components of equity decreased in
% Share premium 6 6 0.0% Retained earnings 803 908 (12%) Other components of equity 178 189 (6%) Deduct: Treasury stock (114) (114) 0.0% Total equity of parent Company's shareholders 1,013 1,129 (10%) Non
: THB 26mn), net cash from operating activities was THB 1,272mn. Net cash used in investing activities was THB 1,657mn. The key components are cash paid for a purchase of current investments of THB 736mn
% 1,169,345 19% 1,169,694 16% 1,169,694 18% Warrants 11,726 0% 14,511 0% 25,057 0% 29,627 0% Other components of equity 24,844 0% (4,250) 0% (4,232) 0% (4) 0% Retained earnings (Deficit) - 0% - 0% - 0% - 0
operating activities was THB 347mn. Net cash used in investing activities was THB 250mn. The key components are cash paid for a purchase of current investments of THB 115mn, cash paid for LED billboards and
) Other Components of Equity Increase / (Decrease) (472.33) (488.75) Non-Controlling Interests Increase / (Decrease) (689.90) (640.06) Total Equity - Restated 59,009.50 58,282.67 Unit : Million Baht Quar
Liabilities - Restated 34,784.91 37,811.27 Equity Total Equity - Previously Reported 63,281.18 62,452.77 Retained Earnings Increase / (Decrease) (3,109.45) (3,041.29) Other Components of Equity Increase
capital 231.0 2,497.0 Retained earnings 3,011.3 2,508.7 Surplus on business combination under common control 328.0 353.1 Other components of SE -239.5 -429.5 Non-Controlling Interest 108.6 202.9 Total