Activities (263.59) (245.83) Unrealized exchange gain (loss) of cash and cash equivalents (0.23) (1.35) Cash Increase (Decrease) – Net 3.30 43.72 Cash at the Beginning of the Period 23.83 20.59 Cash at the
Work-in-Process of THB 79mn, 4) other non-current assets of THB 69mn and 5) loss from investment in JVs and associates companies of THB 34mn. Trade and other receivables were THB 1,165mn, an increase of
971.3 373.0 62.3% - FX Gain (Loss) 99.0 (315.3) (414.3) (418.5%) 339.0 (64.7) (403.7) (119.1%) Utilities income during 3-month period ended second quarter of 2018 was THB 523.1 mm, which increased by THB
Activities (332.76) (506.74) Unrealized exchange gain (loss) of cash and cash equivalents 0.03 (2.34) Cash Increase (Decrease) – Net 0.84 49.79 Cash at the Beginning of the Period 23.83 20.59 Cash at the
บริษทัฯจึงรับรู้ผลขาดทุนจาก Stock loss ซ่ึงไดบ้นัทึกค่าเผื่อมูลค่าสินคา้ลดลง (NRV) ณ 31 มีนาคม 2561 แลว้ในจ านวน 10.23 ลา้นบาท และ ณ 30 มิถุนายน 2561 จ านวน 1.54 ลา้นบาท ตามล าดบั ท่ีตั้ง 55/2 หมู ่8 ถ
971.3 373.0 62.3% - FX Gain (Loss) 99.0 (315.3) (414.3) (418.5%) 339.0 (64.7) (403.7) (119.1%) Utilities income during 3-month period ended second quarter of 2018 was THB 523.1 mm, which increased by THB
share of profit from investments in joint ventures and associates increased to THB 15mn from share of loss at THB 7mn in 2Q 2017/18 due to recognition of a share of profit from Kerry Express since August
expenses decreased since lower loss of exchange rate comparing to 3Q2017. The consolidated SG&A expenses in 3Q2018 were 7.40% of net sales, decreased from 7.91% in 3Q2017. The consolidated SG&A expenses for
) Investing Activities (73.41) (50.32) Cash Flows from (used in) Financing Activities (307.20) (622.28) Unrealized exchange gain (loss) of cash and cash equivalents (0.61) (2.90) Cash Increase (Decrease) – Net
ไตรมาส 2 ท าให้ไตรมาส 2 มีผลประกอบการเป็นก าไรสุทธิ 1.33 ลา้นบาท โดยบริษทัฯไดรั้บรู้ผลขาดทุน จาก Stock loss ซ่ึงไดบ้นัทึกค่าเผื่อมูลค่าสินคา้ลดลง (NRV) ณ 31 มีนาคม 2561 จ านวน 10.23 ลา้นบาท ณ 30 มิถุนายน