111,396,122 5,913,249 5.3 Certificate of Deposit 561,297 598,803 (37,506) (6.3) Interbank and money market items, net 18,432,983 13,156,615 5,276,368 40.1 Liabilities payable on demand 577,447 503,487 73,960
(10,097,336) (14.6) Term Deposit 117,309,371 111,396,122 5,913,249 5.3 Certificate of Deposit 561,297 598,803 (37,506) (6.3) Interbank and money market items, net 16,932,983 13,156,615 3,776,368 28.7
Corruption (CAC). LH Financial Group Public Company Limited Management Discussion and Analysis for the First Quarter ended 31 March 2018 Page 3/18 ESG100 Certificate of the Year 2017 LH Financial Group Public
Term Deposit 82,737,382 78,238,356 4,499,025 5.8 Certificate of Deposit 779,321 752,912 26,409 3.5 Interbank and money market items, net 9,496,777 8,289,723 1,207,054 14.6 Liabilities payable on demand
Certificate of Deposit 779,321 752,912 26,409 3.5 Interbank and money market items, net 9,496,777 8,289,723 1,207,054 14.6 Liabilities payable on demand 571,648 557,819 13,829 2.5 Financial liabilities
Certificate of Deposit 785,102 752,912 32,190 4.3 Interbank and money market items, net 8,193,859 8,289,723 (95,864) (1.2) Liabilities payable on demand 682,313 557,819 124,494 22.3 Financial liabilities
Certificate of Deposit 785,102 752,912 32,190 4.3 Interbank and money market items, net 8,193,859 8,289,723 (95,864) (1.2) Liabilities payable on demand 682,313 557,819 124,494 22.3 Financial liabilities
69,345,929 53,472,240 15,873,689 29.7 Term Deposit 111,396,122 78,238,356 33,157,766 42.4 Certificate of Deposit 598,803 752,912 (154,109) (20.5) Interbank and money market items, net 13,156,615 8,289,723
จัดตั้ง REIT Trustee จะออกใบทรัสต (trust certificate) จําหนายใหแกผูลงทนุ โดยเงินทีไ่ดจากการจําหนายใบทรัสตจะเปนสิทธิของ Trustee ซ่ึงจะประกาศใหเงนิดังกลาวเปนทรัสต และ นําเงินในกองทรัสตไปให
172,906,339 181,693,821 (8,787,482) (4.8) Current Account 556,564 352,967 203,597 57.7 Saving Account 56,646,364 69,345,929 (12,699,565) (18.3) Term Deposit 115,174,250 111,396,122 3,778,128 3.4 Certificate of