% 3,491 1.2% Debt Repayment Schedule License payment schedule Others 5,337 1.8% 4,984 1.7% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 290,505 100% 289,669 100% 2020 - 14,829 3,128 21,747 Trade payable
payment schedule Others 5,337 1.8% 5,165 1.7% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 290,505 100% 296,634 100% 2019 7,789 3,364 - 4,020 Trade payable 18,422 6.3% 18,704 6.3% 2020 - 14,829 3,128
from P&L are annualized YTD. Intangible asset 5,092 1.8% 5,180 1.8% Defer tax asset 3,210 1.1% 2,991 1.0% Debt Repayment Schedule License payment schedule Others 5,337 1.8% 5,113 1.8% Bt mn Debenture
, redeemed debenture which was due in May 2019 in the amount of USD 107 million. (2) Trade accounts payable of Ratchaburi Electricity Generating Company Limited increased in the amount of Baht 1,555.54 million
payment schedule Others 2,062 0.7% 5,780 2.0% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 284,067 100% 282,765 100% 2018 - 5,299 10,247 4,020 Trade payable 14,686 5.2% 14,116 5.0% 2019 7,789 3,364
Schedule License payment schedule Others 2,062 0.7% 5,756 2.0% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 284,067 100% 291,392 100% 4Q18 - 10,000 10,247 - Trade payable 14,686 5.2% 15,295 5.2% 2019
Schedule License payment schedule Others 2,062 0.7% 5,337 1.8% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 284,067 100% 290,505 100% 2019 7,789 9,264 - 4,020 Trade payable 14,686 5.2% 18,422 6.3% 2020
¹¸ºÑµÃ (Bond) ¾Ñ¹¸ºÑµÃ¸¹Ò¤ÒÃáËè§»ÃÐà·Èä·Â§Ç´·Õè 22/182/54 (CB11D01A) ¾Ñ¹¸ºÑµÃ¸¹Ò¤ÒÃáËè§»ÃÐà·Èä·Â§Ç´·Õè 45/28/54 (CB11D08C) ÃÇÁ¾Ñ¹¸ºÑµÃ (Bond) ËØé¹กÙé (Debenture) ËØé¹กÙé¢Í§ºÃÔÉÑ· «ÔµÕéกÃØê» ÍÔ§กì ¤ÃÑé§·Õè
¹) (54631) ÃÇÁµÑëÇáÅกà§Ô¹ (Bill of Exchange) ËØé¹กÙé (Debenture) ËØé¹กÙé¢Í§ºÃÔÉÑ· «ÔµÕéกÃØê» ÍÔ§กì ¤ÃÑé§·Õè 1/2549 ¤ÃºกÓ˹´ä¶è¶Í¹»Õ ¾.È.2554 (CITI11DA) ÃÇÁËØé¹กÙé (Debenture) ÃÇÁà§Ô¹Å§·Ø¹ ( ÃÒ¤Ò·Ø
¹¸ºÑµÃ¸¹Ò¤ÒÃáËè§»ÃÐà·Èä·Â§Ç´·Õè 7/28/55 (CB12322C) ¾Ñ¹¸ºÑµÃ¸¹Ò¤ÒÃáËè§»ÃÐà·Èä·Â§Ç´·Õè 40/182/54 (CB12405A) ¾Ñ¹¸ºÑµÃ¸¹Ò¤ÒÃáËè§»ÃÐà·Èä·Â§Ç´·Õè 41/182/54 (CB12412A) ÃÇÁ¾Ñ¹¸ºÑµÃ (Bond) ËØé¹กÙé (Debenture) ËØé¹ก