increased by Baht 34.50 million, mainly due to the following reasons: • Trade and other receivables increased by Baht 9 9 . 4 2 million, primarily due to the increase of trade receivables-third party of
operating results with the same period of the prior year, the group’s net profits increased by Baht 7.69 million, or increased 30% due to the following reasons: 6 Months 6 Months (Unit : Million Baht) 2018
and unbilled receivables. 2) Current liabilities of the Group were decreased from Advance received from construction contracts and construction income received in advance. Due to revenue recognized
3,658.9 million, increased by 13.3%. Current assets were Baht 1,388.8 million, increased by 3.4% from cash at bank due to draw down long-term loan from financial institution and increment in inventory. Non
accordance with bank overdrafts and short-term borrowings. • Other non-current assets increased by Baht 7.68 million due to withholding tax and work retention. • Property, plant and equipment decreased by Baht
-to-person transmission of the virus. The Group has strictly adhered to government measures, especially social distancing and curfew during period of 3rd April until 14th June 2020. However, due to the
from the previous year amount of Baht 25 million due to increasing of the raw material cost . - Other income was decreased from the previous year amount of Baht 48 million due to decreasing of gain on
cash including some portion of operating cash flow to pay debentures that due on January and July 2019 totaling Baht 1,701 million completely. Non-current assets were not changed materially. Liabilities
reduced by Baht 436 million or 2% from year ended 2019. Total current assets amounted to Baht 3,612 million, increased 1% from year 2019 mainly due to increase in cash and cash equivalents by Baht 403
details of the change are as follow : 1.1 Current asset as at September 30, 2018 amount of Baht 305.17 million increase by Baht 134.82 million or 79.14%, due to cash and cash equivalents increase Baht 61.97