Plc. Net FX gain was reported to be negative Bt44mn, which was mostly unrealized loss from fluctuated currency. Finance cost was Bt1,195mn, decreased 6.5% YoY but flat QoQ. The decrease in finance cost
USD ISIN Code SGXZ61855805 Bloomberg Code N/A วนัจดัตัง้กองทนุ (Inception Date) 19 สิงหาคม 2564 (กองทนุ IPO วนัท่ี 2 - 19 สิงหาคม 2564) สกลุเงินฐาน (base currency) ดอลล่ารส์หรฐั (USD) ตวัชีว้ดั
Geography2 Wind & Solar 56.2% Clean Power 21.3% Water Sustainability 16.4% Clean Technology 6.0% Cash 0.2% Continental Europe 39.2% U.S. 36.4% U.K. 12.5% Asia Pacific 4.9% Canada 3.8% Latin America 3.0% Cash
อยู่ครบ ผู้ลงทุนที่ต้องการไถ่ถอนหน่วยลงทุน เพ่ือรับเงินในช่วงเวลา X เดือน 3. กองทุนรวมตลาดเงิน (money market fund) ผู้ลงทุนที่คาดหวังผลตอบแทน ที่ใกล้เคียงเงินฝาก และยอมรับ ผลตอบแทนที่อาจต่ ากว่า
money market items and the increase in loans. Assets Consolidated Change (Baht '000) Mar 31, 2021 Dec 31, 2020 Amount % Cash 1,176,171 1,490,626 (314,455) (21.1) Interbank and money market items, net
services was reported as gross revenue and cost on cash basis, resulting an increase both in revenue and cost items. In 2018, the Company made a full-year revenue adjustment in 4Q18. Hotel operations are
CONSOLIDATED Change (BAHT'000) Mar 31, 2020 Dec 31, 2019 Amount % Cash 1,350,450 1,109,658 240,792 21.7 Interbank and money market items, net 49,094,489 11,981,838 37,112,651 309.7 Financial assets measured at
, increased of Baht 56,044 million or 18.0% from the end of 2019. ASSETS CONSOLIDATED Change (BAHT'000) Mar 31, 2020 Dec 31, 2019 Amount % Cash 1,350,450 1,109,658 240,792 21.7 Interbank and money market items
occur from the fluctuation in currency and interest rate of long-term debentures in foreign currencies, the Company has entered into cross currency interest rate swap contracts to hedge its debt
represented 71% of total borrowings. To manage risk that might occur from the fluctuation in currency and interest rate of long-term debentures in foreign currencies, the Company has entered into cross currency