(14.76) (2.85) Property, plant and equipment 893.42 922.13 (28.71) (3.11) Right-of-use assets 142.65 - 142.65 100.00 Other assets 72.02 88.48 (16.47) (18.61) Total assets 1,810.14 1,726.77 83.37 4.83
equipment 10,279.2 15,608.2 (5,329.0) Right-of-use assets 9,732.4 - 9,732.4 Deposits 580.1 643.7 (63.6) Other non-current assets 1,053.3 1,095.6 (42.3) Total Non-current assets 51,728.6 49,318.2 2,410.4 Total
deposit of purchase machinery and equipment 10.9 million baht. For the six-month Period 2020 2019 Cash and Cash Equivalent on 1st January 172.2 291.7 Net Cash Provided by (Used in) Operating Activities 4.1
impairment and increased in recognize loss competition and land, building and equipment decline of 1,054.49 Million Baht due to recorded more in impairment of fixed assets and transfer fixed assets of 808.12
0.61 Other current financial assets 30.29 0.00 30.29 100.00 Property, plant and equipment 910.63 922.13 (11.49) (1.25) Right-of-use assets 149.01 - 149.01 100.00 Other assets 82.88 88.48 (5.60) (6.34
% -6.00 -100.00% Property, plant and equipment 812.97 47.78% 801.24 50.88% 11.73 1.46% Goodwill 107.87 6.34% 107.87 6.85% 0.00 0.00% Intangible assets 45.01 2.65% 28.48 1.81% 16.53 58.04% Other non-current
in investing activities for the three-month period as of March 31, 2020 in amount of 4.9 million baht. Significant transactions were cash paid for deposit of purchase machinery and equipment 5.1
% Property, plant and equipment 863.77 49.54% 801.24 50.88% 62.53 7.80% Goodwill 107.87 6.19% 107.87 6.85% - 0.00% Intangible assets 43.98 2.52% 28.48 1.81% 15.50 54.42% Deferred tax assets 5.04 0.29% - 0.00
property, plant and equipment at amount of Baht 53 million due to construction in Segment project which start in this quarter. Liabilities As at September 30, 2020, the Company and its subsidiaries
land held for development improvement and equipment , cash and equivalents. More total liabilities which increase at Baht 49.21 million or 7.36 %, defaulted liabilities, trade and other current payable