and its subsidiaries had cost of construction services and sales of construction materials amounting to Baht 13,779.84 million, a reduction by Baht 4,908.64 million or 26.27% from the same period of the
period of last year of 51.70 million or 71.65% because last year the Company got renewable energy construction projects that had lower profit rate. The gross profit from sale business of
currencies, therefore the Company recognized lower revenue, profit and profit margin. However, the company are planning to boost domestic sales and to enhance measures of waste reduction from the manufacturing
profit by segment of 31%, mainly are from rice business. • Regarding to cost control and reduction, gross profit of restaurant and food center are delivered on par as last year. 3. Financial status
services and sales of construction materials The Company and its subsidiaries had cost of construction services and sales of construction materials amounting to Baht 20,413.35 million, a reduction by Baht
), total revenue from sales amounted to THB 3,862 million, an increase of THB 235 million or 6.5%, driven by higher sales of the energy drinks for export markets and revenue growth in distribution of 3rd
reduction in dividend payout of the Company’s subsidiaries that were under expansions and renovations. In Q3/2019, total revenues increased from Q3/2018 by Baht 49.0 million from Baht 1,558.6 million to Baht
million or 22.31% from the revenue from services business of Baht 840.34 million of 3rd quarter of year 2018. The significant decreasing came from the reduction of the revenue from construction works of
million baht lower than the nine-month period for 2018 by 9.4 percent. The reason for the Company’s incurred a lower net loss are the Company is able to manage higher gross margin and a reduction of
property 0.00 0.00 0.00 N/A 0.00% 0.00% Revenues from reduction of defaulted interest under the court order 0.00 0.00 0.00 N/A 0.00% 0.00% Distribution costs (6.03 ) (7.75 ) (1.72 ) 22.19% (8.94%) (13.73