. Units: Million Baht Summary of financial status and performance Year2017 Year 2016 Year 2015 1) Financial statements ▪ Total assets 174.77 215.70 222.98 - Cash and cash equivalents 41.40 72.05 56.40
. 3. Details of the revenue from sale are as follows: Type of product Quarter 3 rd /2018 Quarter 3 rd /2017 Single Detached House 73% 55% Town House 11% 8% Condominium 16% 37% Total 100% 100% 4. Details
577,164 55,930 9.69 3,039,595 1,762,247 1,277,348 72.48 Total revenues 755,838 702,991 52,847 7.52 3,402,701 2,062,058 1,340,643 65.01 Total expenses 746,891 662,055 84,836 12.81 3,213,297 1,964,416
the issuance and offering of the debentures in the total amount of Baht 350 million are composed of the debentures of Phuket Fantasea Public Company Limited No. 1/2019 ,due 2020 amount of Baht 150
(26%) Operating Cash Flow5 405 385 276 47% 1,301 955 36% Net Debt to Equity (times) 0.92 0.94 0.71 29% 0.92 0.87 6% *The total amount of IRSL was excluded from Core Financials 2Q19, but was consolidated
4.5% 60.3 99.7 39.5 65.5% Total income 150.4 95.7 -54.7 -36.4% 306.6 260.8 -45.8 -14.9% Rental cost 108.6 14.8 -93.8 -86.4% 223.8 23.5 -200.3 -89.5% Cost of Sales 29.2 23.3 -5.9 -20.2% 49.1 68.3 19.2
the revenue from sale are as follows: Type of product 2 nd quarter of 2020 2 nd quarter of 2019 Single Detached House 79% 69% Town House 11% 9% Condominium 10% 22% Total 100% 100% 2 4. Details of the
reported revenues from construction contracts and sales of construction materials of Baht 9,342.55 million, representing 92.82% of total revenues, a decrease of 27.97% or Baht 3,627.43 million from last year
second quarter of 2020 of Baht 14.75 million, comparing with the same period last year which had net loss of Baht 2.88 million, improving by Baht 17.63 million. The details were as follows:- 1. Total
income 82 2,381 -97% 298 -72% Other income 3,852 7,251 -47% 4,339 -11% Total Revenues 439,120 494,213 -11% 328,687 34% Profit / (Loss) before interest and taxation 27,930 (44,109) 163% (767,358) 104