of 40.80mb and finance lease payment of 17.4mb. After IPO fund raising, the Company has no financing project as we have ample funds for a working capital and other investment plans. Please be informed
% primarily of the significant changes are from the additional purchase of property, plant and equipment of Baht 478.66 million mostly was the 5 construction in progress for Carnival Magic project, animals and
contributed 71.9% of total revenue or THB 368mn, decreased by 14.2% YoY. This was resulted from less revenue recognition from project management. Cost of sales increased by 5.7% YoY to THB 453mn mainly due to
power plant project. Property plant and equipment increased by Baht 368.3 million from the new investment projects. Advance payments for constructions and purchase of fixed assets decreased by Baht 13.1
the value of the principal asset as mentioned in sub clause 1. 2. or 3. has to use the acquired value of the total assets of each project being ready to take advantage of income, including any asset
system security) ................48 - 3 - 2.10 การบริหารจดัการโครงการดา้น IT (IT project management) การจดัหา พัฒนา และบำรุงรักษาระบบ IT (system acquisition, development and maintenance
system security) ................48 - 3 - 2.10 การบริหารจดัการโครงการดา้น IT (IT project management) การจดัหา พัฒนา และบำรุงรักษาระบบ IT (system acquisition, development and maintenance
of employees to support the business expansion, pre-operation expenses as the result from the Group continuing expansion and new project development and expenses related to the bidding of the projects
(use of proceeds) (3) กระบวนการที่ใช้ในการประเมินโครงการ (process for project evaluation) (4) การบริหารจัดการเงินที่ได้จากการเสนอขายโทเคนดิจิทัล (management of proceeds) (5) การรายงานและช่องทางการเปิดเผย
Conversion Project in preparation for compliance with IFRS 9, and progress was steady. In 2018, the project worked with public agencies via the IFRS Club and the Thai Bankers’ Association, and reached a