of operating results for the year 2019, Ended of December 31, 2019 Unit : Million Baht Power Generation Others Total Change Increase (Decrease) 2019 2018 2019 2018 2019 2018 Amount % Total Revenues
-127.38 63.94 Financing Cash Flow 37.90 -48.67 -54.65 -133.32 -75.56 Net Cash Flow -117.49 -6.50 18.68 60.58 -54.38 Statement of Financial Position (MB.) 6M/2022 (01/01/22 -30/06/22) 6M/2021 (01/01/21
84.20 38.07 Investing Cash Flow 90.73 380.39 1.63 -212.62 -6.29 Financing Cash Flow -86.62 -40.00 -43.43 -24.43 -17.90 Net Cash Flow 47.22 366.02 36.29 -152.84 13.88 Statement of Financial Position (MB
Consolidate Consolidate Consolidate Operating Cash Flow 140.59 -62.50 -48.75 130.23 -3.66 Investing Cash Flow 300.54 -57.62 -138.74 -274.05 -126.85 Financing Cash Flow -128.56 -13.76 42.14 281.56 38.56 Net Cash
122.70 Investing Cash Flow -7.28 -1.31 -8.85 -118.69 -187.93 Financing Cash Flow -70.99 -34.63 -99.03 -83.54 59.63 Net Cash Flow -17.12 15.53 31.29 -3.11 -5.61 Statement of Financial Position (MB.) 6M/2022
end of this year. The COVID-19 pandemic has caused a slight delay in commencing this business. However, as a result of the COVID-19, the Company expects to see a change of consumer behavior toward more
Financing Cash Flow 51.29 337.19 -236.50 -833.95 Net Cash Flow 257.42 -27.78 -56.76 26.48 Statement of Financial Position (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19 -31
Financing Cash Flow 3,420.52 1,239.41 392.70 470.12 Net Cash Flow 201.48 -104.44 36.92 76.88 Statement of Financial Position (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19
325.00 -108.85 130.44 Investing Cash Flow 157.18 -102.45 156.52 -25.82 Financing Cash Flow -107.94 -250.86 -84.90 -34.00 Net Cash Flow -16.27 -28.30 -37.23 70.63 Statement of Financial Position (MB.) 2021
Consolidate Company Company Operating Cash Flow 245.70 315.98 419.46 408.04 Investing Cash Flow -123.89 -103.60 -293.83 -215.91 Financing Cash Flow -241.50 -86.38 -28.68 -363.32 Net Cash Flow -119.69 126.00