าเตือนและการเปดิเผยในเรื่องต่างๆ (เช่น ความเส่ียงที่ ส าคัญของกองทุน เป็นต้น) เป็นอย่างดีแล้ว I hereby confirm that I have received and understand the prospectus, Fund details and any related
Public Company Limited its subsidiary companies For the six-month period ended June 30, 2020 and 2019 Y 2020 Y 2019 Change MB MB MB Net Cash Received from Operating Activities 2,038.38 1,456.09 582.29 Net
investing activities of Baht 593 million, mainly consisting of the followings; • Net cash received from operating activities Baht 127 million consisting of cash inflow from sales and services, offsetting with
0.00% 88,888,888** 27.9 Remark: *Inclusive of ordinary shares and preferred shares ** an investor who has received the newly issued ordinary shares to the specific investors (Private Placement) at the
) Source of fund Use of fund Operating cash flow 23,020 CAPEX & Fixed assets 5,896 Sale of equipment 4 Spectrum license 1,960 Interest received 19 Income tax paid 470 Investments in joint ventures 226
of fund Operating cash flow 57,801 Net CAPEX & Fixed assets 12,064 Proceed from capital reduction of investment in an associate 532 Net borrowings payment 11,685 Interest received 110 Dividend paid
of fund Operating cash flow 57,801 Net CAPEX & Fixed assets 12,064 Proceed from capital reduction of investment in an associate 532 Net borrowings payment 11,685 Interest received 110 Dividend paid
Interest received 144 Long-term loan to associate 243 Other 26 Dividend paid 28,194 Lease liability payments 13,121 Spectrum license 12,755 Income tax paid 6,215 Finance cost payments 5,654 Cash decrease
disclosed and received ratification regarding this matter from the shareholders. Moreover, Carnival Magic also hired Cherdchaiwon Company Limited (“Cherdchaiwon”) as the constructor of a hydraulic elevator
the Company had disclosed and received ratification regarding this matter from the shareholders. Moreover, Carnival Magic also hired Cherdchaiwon Company Limited (“Cherdchaiwon”) as the constructor of a