144 156 14% 8% 173 300 73% Others (excluding depreciation and amortization) 266 238 243 (9%) 2% 376 481 28% Total cost of sales of goods and rendering of services 3,555 3,145 2,552 (28%) (19%) 4,662
, 2018 with details as follow; unit: million baht Items 6-month period ended 2017 6-month period ended 2018 changes Amount % Amount % Amount % Revenue from sales of goods . . . . . . Cost of sales of goods
1,105.12 (62.14) (5.62) Cost of goods sold 566.50 624.93 (58.43) (9.35) Selling expenses and administrative expenses 465.90 447.41 18.49 4.13 Seling expenses 293.25 268.56 24.69 9.19 Administrative expenses
238.99 261.84 (22.85) (8.73) Other income 9.49 13.06 (3.57) (27.34) Total revenues 248.48 274.90 (26.42) (9.61) Cost of goods sold 139.89 151.91 (12.02) (7.91) Selling expenses and administrative expenses
, decreased in allowance for goods of 35.51 Million Baht and increased in non - current assets as held for sale as amount of 1,136.81 Million Baht as 984.64 Million Baht when compared to year 2018 as amount of
allowance for goods of 35.51 Million Baht and increased in non - current assets as held for sale as amount of 1,136.81 Million Baht as 984.64 Million Baht when compared to year 2018 as amount of 152.17
formats of bottles, non-carbonated and carbonated under the CBD’s operation was at 33.6%, increased from the ratio of 31.6% in the corresponding period last year. Cost of goods sold of the Group for the
considers the business restructure of the Company for purpose of handling the impacts from the downturn of the current economy, including the downturn of several industries other than the main businesses of
% -33% Revenue from sales of goods 30 3% 50 2% 67% Revenue 954 100% 2,355 100% 147% Gross profit 319 33% 985 42% 209% Other income 882 92% 98 4% -89% Selling expense -129 -14% -287 -12% 122
Engineering Co., Ltd. and Subsidiaries Statement of Financial Position Unit : Baht 31 Dec 2017 31 Dec 2016 Assets Current Assets Cash and cash equivalents 30,716,857.52 3,463,439.72 Trade and other Receivables