representative or 360-degree technology. Until now, offering a deep discount to potential customers was not expected because of the Company’s financial strength with Net Interest-Bearing-Debt to Equity at 0.97
Bearing Debt ratio) อัตราผลตอบแทนจากสินทรัพย์ (ROA) 13.9% 15.5% 15.6% อัตราผลตอบแทนผู้ถือหุ้น (ROE) 46.0% 46.3% 47.6% ณ วันท่ี 30 กันยำยน 2562 บริษัทมีอัตรำส่วนสภำพคล่องเท่ำกับ 0.57 เท่ำ เพิ่มขึ้นเมื่อเทียบ
company has strong short- term debt management capabilities and good liquidity. The improving liquidity ratio has contributed to the company's financial stability, even though interim dividends have already
have problem on purchasing power and incomes which have not yet recovered. The high liability affected the expense atmosphere to be sluggish. Cost of goods sold was 148.96 million baht. It decreased
issued shares to the private placement investor will strengthen the long-term financial structure and the debt to equity ratio of the Company by increasing more financial flexibility for future project and
24,052m Current assets and THB 48,078m Non-current assets. Total liabilities stood at THB 43,506m while the net gearing ratio stood at 0.86x, slightly increased from 0.77x as of 31 December 2019 due to
January 27, 2020 has approved the establishment of subsidiary. The details are as follows; Registered Name MAHADLEKLUANG Co., Ltd. Type of business Real Estate Development Ratio of share held by the Company
in the form of program” means newly issued short-term sukuk that has obtained an approval from the SEC Office for multiple offers for sale without the obligation to repeat the application for approval
+ 225,000,000)] = 3.35 Baht/share B. Exercise ratio shall be adjusted as follow: Ratio 1 = Ratio 0 x [MP x (A+B)] [(A x MP) + BX] = 1 x [2.74 x (4,554,643,575+225,000,000)] [(4,554,643,575 x 2.74)+(486,000,000
Are Not Debt Instruments or Investment Units dated 3 August 2009; (3) The Notification of the Capital Market Supervisory Board No. Tor Thor. 1/2553 Re: Rules, Conditions and Procedures for Brokerage and