13,209.82 million, increasing by Baht 3,922.36 million from Baht 9,287.46 million on December 31, 2017. The details were summarized below: (Million Baht) Net cash from operating activities 1,112.70 Net cash
period of the first six months of 2018 were below ;- - The Group’s net cash from operation was of Bt1,017.9 million, increasing by Bt109.3 million or 12.0% - Cash for investment activities was of Bt2,160.2
period of the first six months of 2018 were below ;- - The Group’s net cash from operation was of Bt1,017.9 million, increasing by Bt109.3 million or 12.0% - Cash for investment activities was of Bt2,160.2
BUSINESS Revenue from Sales and Services from Utilities Business was amounted of Baht 443.4 million in 3Q2018, a 9.2% increased from 3Q2017. The details have shown in the table below. (Unit: Million Baht
important details of cash flow were as follows: 2.1.1 Cash and cash equivalent of Bt2,071.7 million which cash flow summarized for the period of the nine months of 2018 were below ;- - The Group’s net cash
listed below are the material changes to the previous version of the registration statement as chosen above: (1) ……………………………………………………………………………………………… ……………………………………………………………………………………………… (2
977.1 37.9% Other income during 2019 was THB 977.1 mm, which increased by 37.9%, compared to the same period of last year.The breakdowns are the details below: Dividend and management income during 2019
16,000 million baht. PAGE 4 For the second quarter ended June 30th, 2020. The operating results as table shown below, Description Second Quarter 2019 Second Quarter 2020 Differentiate Million THB % Million
months was THB 591.6 mm, which increased by 25.3%, compared to the same period of last year.The breakdowns are the details below: Dividend and management income during 3 months ended the third quarter of
การเงิน 54.20 อสังหาริมทรัพย์และก่อสร้าง 45.80 การจัดสรรการลงทุนตามอันดบัความน่าเชื่อถือ (%) ในประเทศ National International GOV bond/AAA - - - AA - - - A 44.50 - - BBB 55.50 - - Below - - - Unrated