No. ECF2 035/2562 23 September 2562 Subject Notification on the resolutions of the Board of Directors’ Meeting approving the purchase of the ordinary shares in KPN Academy Company Limited, the increase of registered capital, the issuance and the allocation of the newly-issued shares to specific persons (Private Placement) and the convening of the Extraordinary General Meeting of Shareholders No. 1/2019 (2nd additional) To Director and Manager The Stock Exchange of Thailand Enclosure 1. Informati...
1,761.00 million, which shall be due and payable in full on 31 March 2020; and (2) a reinvestment agreement for 1 ordinary share of SGAH between the Company and shareholders of the remaining 74.90% of SGAH
approximately Baht 1,761.00 million, which shall be due and payable in full on 31 March 2020; and (2) a reinvestment agreement for 1 ordinary share of SGAH between the Company and shareholders of the remaining
INTERNATIONAL PUBLIC COMPANY LIMITED NO. 1/2565 PAYABLE UPON DISSOLUTION WITH THE ISSUER'S RIGHT TO EARLY REDEMPTION AND UNCONDITIONAL INTEREST DEFERRAL 13,000.00 19/08/2022 01/09/2022 06/09/2022 ด้อยสิทธิ/ไถ่ถอน
account payable. FINANCIAL PERFORMANCE 7 Q1’2019 Q1’2018 % change Q4’2018 % change million Baht million Baht y-on-y million Baht q-on-q Other revenues 48 22 118.2% 72 -33.3% Share of profit (loss) of
annual license fee from 1 January 2019 to 16 August 2019 which is payable by Spring to NBTC in the approximate amount of Baht Baht 215.07 million (including VAT). 7. Expected benefits to the Company from
3,378 26.5% 1,934 16.7% 74.7% Acquisition payable 60 0.5% 60 0.5% 0.0% Long term loans 462 3.6% 601 5.2% -23.1% Debenture 998 7.8% 997 8.6% 0.1% Deferred rental revenue 521 4.1% 534 4.6% -2.4% Others non
3,378 26.5% 1,934 16.7% 74.7% Acquisition payable 60 0.5% 60 0.5% 0.0% Long term loans 462 3.6% 601 5.2% -23.1% Debenture 998 7.8% 997 8.6% 0.1% Deferred rental revenue 521 4.1% 534 4.6% -2.4% Others non
- 411.7 (411.7) Income tax payable 51.9 277.3 (225.4) Unearned revenue 864.9 2,343.7 (1,478.8) Other current financial liabilities 1,311.8 - 1,311.8 Other current liabilities 2,631.0 2,457.7 173.3 Total
(CAPEX payable) ต้นทุนทางการเงิน อยู่ที่ 1,386 ล้านบาท ลดลงร้อยละ 11 เทยีบกบัปีก่อน จากอตัราดอกเบีย้ทีล่ดลงและหนี้สนิทีม่ภีาระดอกเบีย้ทีล่ดลง แต่เพิม่ขึน้รอ้ยละ 2 เทยีบกบัไตรมาสก่อนจากดอกเบีย้ใบอนุญาตคลื่น