million, to be 3.08% as follow: - Cost of Producer of ready-to-drink decreased Baht 4.93 million, less than the previous year, or 5.18%. The decreased cost of production is consistent with the decreased
of Producer of ready-to-drink increased Baht 66 million, to be 17%, the increased cost of production is consistent with the increased revenue in the milk-manufacturing business to be 19%. - Cost of
, there was an additional depreciation calculated by the investment in assets used in production to boost efficiency and reduce production costs in the long run. - In the consolidated financial statements
sales because of the increased in production volume of pre-stressed concrete pile and precast concrete resulting in lower of cost per unit of such product comparing with the same period of previous year
134.3 million mostly from trade payables and short-term loans of Baht 224.6 million to support higher production. Meanwhile, long- term liabilities decreased by Baht 97 million for the repayment. As a
79.88 percent. Due to subsidiary company is in the process of setting up machinery to find the parameters. In the production of electricity to be able to sell electricity up to 8 MW of the contact with
3 months production capacity was 70%. Revenues from hire of work in 2020 amounted to 17.26 million baht an increase from the last year 9.39 million baht or 119.42% the most of the revenue is generated
fluctuation of CPO price in the 3 rd quarter of 2022, cause the realized cost CPO used in production, was higher than the Company’s product selling price approximately 8-9 Baht per Kilogram and the Company had
(ปรบัปรงุใหม่) 7/ Q4/2561 Q1/2562 YoY QoQ รายได้รวม 44,226 48,781 45,535 3% -7% Accounting EBITDA 3,023 (317) 1,959 -35% 717% กลุ่มธุรกจิโรงกลัน่และการคา้น ้ามนั 1/ 1,279 (1,419) 517 -60% 136% กลุ่มธุรก
มิถุนายน 2561 ของบริษัทฯ และบริษัทย่อย หน่วย: ล้านบาท Q2/2560 Q1/2561 Q2/2561 YoY QoQ 6M2560 6M2561 YoY รายได้รวม 42,828 44,226 45,558 6% 3% 86,823 89,783 3% Accounting EBITDA 2,514 2,992 3,366 34% 12% 6,589