license, and lease liability paid). In summary, net cash increased by Bt8,520mn resulting in an outstanding cash of Bt23,263mn at the end of Mar-24. Net FX gain (loss) in 1Q24 was a loss of Bt-198mn amid
and cash equivalent transaction net decreased from 31 December 2018 in Baht 10.64 million by separate cash flow to each activity as follows: 15th Floor, Regent House Building, 183 Rajdamri Rd., Lumpini
Statement Cash Flow Statement for the year ended 31 December 2019, the company has cash and cash equivalent transaction net decrease, decreased from 31 December 2018 in Baht 17.21 million by separate cash
, increased from 31 December 2017 in Baht 8.10 million by separate cash flow to each activity as follows: 1. Cash flow from operating activity , net cash received Baht 1.09 million has essence transaction as
in Baht 9.23 million by separate cash flow to each activity as follows: 1. Cash flow from operating activity , net cash received Baht 22.21 million has essence transaction as follows: - Operating cash
ended 30 June 2019, the company has cash and cash equivalent transaction net decreased from 31 December 2018 in Baht 14.65 million by separate cash flow to each activity as follows: 1. Cash flow from
separate cash flow to each activity as follow : 1. Cash flow from operating activity , net cash used Baht 0.54 million has essence transaction as follows: - Operating cash flow before changing in operating
has cash and cash equivalent transaction net increased from 31 December 2019 in Baht 5.61 million by separate cash flow to each activity as follows: 15th Fl. Regent House Bldg., 183 Rajdamri Rd
December 2019 in Baht 4.25 million by separate cash flow to each activity as follows: 1. Cash flow from operating activity , net cash received Baht 28.45 million has essence transaction as follows
aforementioned electricity fee since December 2011. According to Separate Financial Statements of the Company as at 30 September 2017, the Company has total liabilities of THB 17,622 million, which can be