ลงทุนระยะสั้นโดยมีเจตนามุ่งเน้นเพื่อการขายต่อ หรือเพื่อหาประโยชน์จากการเปลี่ยนแปลงหรือความแตกต่างของราคา (short term speculation) port ของบริษัทจัดการจะต้องมีลักษณะเป็นเงินทุนระยะยาวเกินกว่าหนึ่งปี เว้น
revenue and profit margin from such project with lower production cost than projected. Redemption of debenture in January 2020 in the amount of THB 300 million Repayment of short-term borrowings from
Liabilities Total liabilities increased from Bt4,739 million at the end of 2019 to Bt5,574 million as of June 30, 2020. An increase was due mainly to an increase in short-term debt of Bt1,445 million due to
issue secured debenture in the amount of THB 300 million to be repaid the previous debenture which will be due in January. • Short-term borrowings from financial institutions decreased THB 62.74 million
THB 1,825.66 million primarily due to: • The Company issue secured debenture in the amount of THB 300 million to be repaid the previous debenture which will be due in January. • Short-term borrowings
31st, 2020 were 69.33, plunging by 9.19 million baht or 15.29% compared to as at 31 December 2019 of 60.13 million baht. This resulting from short-term loans from related companies in the amount of 1.6
. The majority of total assets consist of cash and equivalents, short-term investments, trade receivables, and other receivables, property, plant and equipment and intangible assets because of the new
income was THB 1.47 million, increased by THB 1.22 million, or +484.46% YoY, mainly due to interest income on short-term loans to related party. Consequently, in 6M2024, the Company had other income of THB
income was THB 1.48 million, increased by THB 1.13 million, or +330.48% YoY, mainly due to interest on short-term loans to related party. Consequently, in 9M2024, the Company had other income of THB 4.32
are as follows: Current assets decreased by Baht 15,559 million or 30%. This was caused by Cash, cash equivalents and short-term investments decreased by Baht 14,167 million from an invesment in Paju