ครบกำหนดไถ่ถอน (call option) (สำหรับหุ้นกู้ SQ25NA SQ25NB SQ266A SQ275A และ SQ285A) - แก้ไขเพิ่มเติมเรื่องการไถ่ถอนหุ้นกู้ก่อนวันครบกำหนดไถ่ถอนโดยผู้ออกหุ้นกู้ (call option) เพื่อให้สอดคล้องกับ
สิทธิไถ่ถอนหุ้นกู้ก่อนวันครบกำหนดไถ่ถอน (call option) สำหรับหุ้นกู้ SQ25NA SQ25NB SQ266A SQ275A และ SQ285A- แก้ไขเพิ่มเติมเรื่องการไถ่ถอนหุ้นกู้ก่อนวันครบกำหนดไถ่ถอนโดยผู้ออกหุ้นกู้ (call option) เพื่อ
. Credit Risk Management Sub-committee and Corporate Governance Committee oversee project financing requests that could have adverse impacts on the environment and society. Business units are responsible
37,169 9,174 Cash flows used in investing activities (1,496) (3,955) (13,437) (940) Cash flows used in financing activities (11,459) (276) (9,873) (11,384) Net increase (decrease) in cash and cash
31 March 2017 MB % Cash flow from operating activities 42.19 51.27 (9.08) (17.71) Cash flow used in investing activities (29.12) (59.18) 30.06 (50.79) Cash flow used in financing activities (0.03
acquisitions of property, plant and equipment 12.6 million. (4.3) Cash Flows from Financing Activities The Company has net cash flows used in financing activities for the nine-month period as of September 30
% 25% 1% 28% 25% 3% Other income /(expenses) 15.00 5.09 195% 130.99 23.62 455% Financing cost 0.02 3.58 -99% 4.34 12.03 -64% Corporate Tax 20.58 7.81 163% 99.30 56.44 76% Net profit 81.86 70.04 17
% Cash flow from (used in) operating activities (31.40) 18.44 (49.84) (270.28) Cash flow used in investing activities (57.51) (54.25) (3.26) 6.01 Cash flow from (used in) financing activities (9.41) 70.83
Change THB % Cash flows from operating (8.33) 35.95 (44.28) -123.2% Page5of5 Cash flows from investing (10.98) (16.85) 5.87 -34.8% Cash flows from financing 10.63 (8.13) 18.76 -230.8% Net cash increase
flows from financing 10.64 (8.13) 18.77 -230.87% Net cash increase (decrease) (8.69) 10.97 10.97 (19.66) -179.22% Cash at beginning of period 16.05 116.046.90 16.90 (0.85) -5.03% Cash at end of period