- Translation - Ref : LPH/SET 2018/016 August 10, 2018 Subject : Clarification on the Operating Results for the 3-month and 6-month period ended June 30, 2018 (Q2/2018) To : President The Stock
Microsoft Word - UPF61MD&A-E.doc ( Translation ) 25th February 2019 Subject: Management Discussion and Analysis (MD&A) for the year ends on 31st December 2018 To: Managing Director of the Stock
www.ucity.co.th Ref U. SET 022/2017 13 November 2017 Subject: Summary of Operating Performance and Financial Status for Quarter 3/2017 To: President The Stock Exchange of Thailand U City Public Company Limited and
BOD Resolution Ref U. SET 008/2018 14 February 2018 Subject: Summary of Operating Performance and Financial Status for Quarter 4/2017 and for the Year Ended 31 December 2017 To: President The Stock
to in the first quarter of 2019, the Company purchased ordinary shares of the subsidiary (FSMART) in the Stock Exchange of Thailand in the amount of Baht 44 million. Cash flows used in financing
-127.38 63.94 Financing Cash Flow 37.90 -48.67 -54.65 -133.32 -75.56 Net Cash Flow -117.49 -6.50 18.68 60.58 -54.38 Statement of Financial Position (MB.) 6M/2022 (01/01/22 -30/06/22) 6M/2021 (01/01/21
84.20 38.07 Investing Cash Flow 90.73 380.39 1.63 -212.62 -6.29 Financing Cash Flow -86.62 -40.00 -43.43 -24.43 -17.90 Net Cash Flow 47.22 366.02 36.29 -152.84 13.88 Statement of Financial Position (MB
Consolidate Consolidate Consolidate Operating Cash Flow 140.59 -62.50 -48.75 130.23 -3.66 Investing Cash Flow 300.54 -57.62 -138.74 -274.05 -126.85 Financing Cash Flow -128.56 -13.76 42.14 281.56 38.56 Net Cash
Consolidate Consolidate Consolidate Operating Cash Flow -116.51 -73.65 -161.84 205.80 -104.16 Investing Cash Flow -20.38 -8.60 10.74 -15.69 -101.30 Financing Cash Flow 184.72 -165.41 -130.21 110.71 221.05 Net
-106.45 -106.40 0.66 150.07 Financing Cash Flow -0.00 -417.64 -417.64 -4.56 87.97 Net Cash Flow -14.82 137.20 47.74 -46.68 12.81 Statement of Financial Position (MB.) 6M/2022 (01/01/22 -30/06/22) 6M/2021