repayment schedule License payment schedule Bt mn Debenture Loan 1800MHz 900MHz 2Q17-4Q17 397 1,147 10,247 - 2018 - 2,799 10,247 4,020 2019 7,789 3,364 - 4,020 2020 - 24,829 - 59,574 2021 1,776 12,079
Schedule License payment schedule Others 3,404 1.2% 2,178 0.8% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 275,670 100% 279,731 100% 4Q17 - 14,247 10,247 - Trade payable 17,737 6.4% 11,348 4.1% 2018
. Moreover WHAUP has issued debenture, totaling of THB 4,000 mm, which has lower interest rate, to re-finance long-term loan as well. 3. Increase in debentures (net) of THB 1,221.4 mm. Because during this year
. Intangible asset 4,099 1.5% 4,499 1.6% Defer tax asset 2,618 0.9% 2,562 0.9% Debt Repayment Schedule License payment schedule Others 3,404 1.2% 2,062 0.7% Bt mn Debenture Loan 1800MHz 900MHz Total Assets
THB 2,500 mm by using WHAUP’s IPO proceeds. Moreover WHAUP has issued debenture, totaling of THB 4,000 mm, which has lower interest rate, to re-finance long-term loan as well. 3. Decrease in trade and
1.5% Figures from P&L are annualized YTD. Defer tax asset 3,491 1.2% 3,828 1.1% Debt Repayment Schedule License payment schedule Others 4,984 1.7% 5,316 1.5% Bt mn Debenture Loan 1800MHz 900MHz 2600MHz
% 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