expenses (32,336) 2.84% (30,791) 4.05% (1,545) 5.02% Administrative expenses (356,481) 31.28% (316,722) 41.65% (39,759) 12.55% Other expenses - 0.00% (12,702) 1.67% 12,702 100.00% Gain from bargain purchase
รายงานการประชุมคณะกรรมการตรวจสอบ ครั้งที่ 4/2548 Page 1/5 Ref. SET-2020-004 17 March 2020 Subject: Notification of the resolutions of the Board of Directors’ Meeting No. 2/2020 on the restructure of
situation has slowed down for a quite period of time. As for this year’s investment, due to the COVID-19 outbreak since the end of the year 2019, the company has decided on two major policies, which are
แบบลีสซ่ิง (Leasing) การใหท้รัพยสิ์นแบบเช่าซ้ือ (Hire Purchase) การรับซ้ือลดบญัชีลูกหน้ี (Factoring) การใหบ้ริการรถเช่า (Maintenance Lease) ทุนจดทะเบียนและ ทุนเรียกช าระแลว้ : 500,000,000 บาท แบ่งเป็น
% (8,544) 1.01% 8,544 100.00% Bargain purchase of investment in a subsidiary 10,092 1.01% 2,342 0.28% 7,750 330.91% Gain on sale of investment in subsidiary - 0.00% 137,396 16.21% (137,396) 100.00% Reversal
recorded total sales revenue of THB 557.33 million and THB 702.11 million, respectively. This is equal to an increase of 26.00 % year on year. Domestic sales revenue increased 31.59% from the same period of
(127.43 ) (290.46 ) 163.03 (56.13%) (72.54%) (98.16%) Gross Profit 48.23 5.43 42.80 788.21% 27.46% 1.84% Other income 8.49 10.19 (1.70 ) (16.68%) 4.83% 3.44% Gain on disposal of investment property 12.21
year-on-year upon consolidating the result of our newly acquired subsidiary, Tiger Soft (1998) Company Limited (“TigerSoft”). Revenue from our Financial Solutions marginally increased by 0.60 mb or 0.8
million Advance Prefab Company Limited Baht 9.59 million Baht 4.13 million Tastemaker Company Limited Baht 1.27 million Baht 0.74 million Total Baht 43.72 million Baht 29.83 million On the third quarter of
in Information and Communication Technology and the D–ticket Project of State Railway of Thailand. Furthermore, the important new projects in 2021, such as the Storage Purchase Agreement Project for