10.9% Non-Current liability 28.99 2.4% 30.10 2.3% 1.11 3.8% Total liability 106.34 8.7% 115.85 9.9% 9.51 8.9% Net Asset 1,119.64 91.3% 1,160.66 90.1% 41.02 3.7% Equity 1,119.64 91.3% 1,160.66 90.1% 41.02
December 2018 Increase (Decrease) Percentage Asset 1,383.55 1,419.80 -36.25 -2.55 Liabilities 522.57 462.61 59.96 12.96 Shareholders 'Equity 860.98 957.19 -96.21 -10.05 The cause of the company's financial
financial statement TOTAL ASSET 1,176.17 1,214.62 (38.45 ) (3.17%) TOTAL LIABILITIES 718.09 668.88 49.21 7.36% TOTAL SHAREHOLDER EQUITY 458.08 545.74 (87.70) (16.06%) (Unit: million Baht) Financial Statement
statement TOTAL ASSET 1,176.17 1,214.62 (38.45 ) (3.17%) TOTAL LIABILITIES 718.09 668.88 49.21 7.36% TOTAL SHAREHOLDER EQUITY 458.08 545.74 (87.70) (16.06%) (Unit: million Baht) Financial Statement 2018 2017
law. 2. To enhance efficiency of official receivers in collecting a debtor’s assets in a bankruptcy case, a provision has been added to this law. The new provision allows (a) any person who owes a
% Total assets 1,862.28 2,060.09 -197.80 -9.60% Total liabilities 1,071.05 1,255.62 -184.58 -14.70% Total shareholders’ equity 791.24 804.46 -13.23 -1.64% As at March 31, 2016, the Company and its
of NRI CIS: (more than one answer is possible) Equity Fund Fixed Income Fund Multi-Asset Strategy Fund Money Market Fund Feeder Fund Fund of Funds Exchange-Traded Fund Index Fund Capital-Guaranteed
Unit trust Any other structure acceptable to participating jurisdictions 5) Type of NRI CIS: (more than one answer is possible) Equity Fund Fixed Income Fund Multi-Asset Strategy Fund Money Market Fund
* ". (* O B.. 2550) Cedears Assets Market Value (MIO) 0 200 400 600 800 1000 1200 Ma r-0 3 Ap r-0 3 Ma y- 03 Ju n- 03 Ju l-0 3 Au g- 03 Se p- 03 Oc t-0 3 No v- 03 De c-0 3 Ja n- 04 Fe b- 04 Ma r-0 4 Ap r-0 4
mainly in and benefit from infrastructure assets. Clause 4 This Notification sets out the following; (1) in relation to the application and the approval on the offering of the newly issued units; the