, plants and equipment of THB 434.3 mm, mainly from increase in assets from data center business, amounting to THB 257 mm. 6. Decrease in investment properties (net) of THB 1,821.5 mm, mainly due to the
cash flow 71,061 CAPEX & Fixed asset 41,108 Proceed of LT borrowings 16,307 Dividend paid 23,190 Sale of equipment 121 Payment of spectrum license 10,246 Interest received 169 Income tax paid 5,533 Cash
development of 12,987.3 Million Baht, Account Receivable of 371.5 Million Baht. Additionally, there were building improvement, sales gallery and equipment of 2,864.6 Million Baht. Moreover, the goodwill
associates proportionately. 5. Increase in investments in joint ventures of THB 168.3 mm, due to capital increase in joint ventures proportionately. 6. Increase in properties, plants and equipment of THB 553.5
นวน 99.2 ลา้นบาท อุปกรณ์ท่อทางใตล้านจอด (Hydrant equipment) จาํนวน 1,066.3 ลา้นบาท ค่าสมัปทานของบริษทัยอ่ยจาํนวน 479.7 ลา้นบาท และสิทธิในการใชท่ี้ดินเช่าท่ีเก่ียวขอ้ง กบัสญัญาสมัปทานจาํนวน 30.6 ลา้นบาท
2016) of property, plant and equipment Mr. Geza Perlaki Mr. Krishnan Subramanian Aylur Authorized Director Authorized Director
ซ่ึงประกอบดว้ย อุปกรณ์ อาคารและส่ิง ปลูกสร้างสถานีบริการ อุปกรณ์ท่อทางใตล้านจอด (Hydrant equipment) ค่าสัมปทานของบริษทัยอ่ย และ สิทธิในการใชท่ี้ดินเช่าท่ีเก่ียวขอ้งกบัสัญญาสัมปทาน 2.2 หน้ีสิน ณ วนัท่ี 31
17.1% 0.2% Property, plant and equipment 4,365 35.8% 4,300 37.2% 1.5% Prepaid rental of land and bulidings 837 6.9% 821 7.1% 1.9% Others non-current assets 1,809 14.8% 1,382 11.9% 30.9% Total non-current
damaged and unusable assets of Baht 2.30 million but there were cash paid for tools and equipment replacement after their useful life of Baht 15.21 million. The Corporate Group’s net cash used in financing
purchases of equipment and asset under construction was Baht 98 million. Equity injection in XPCL was Baht 97 million. Meanwhile, the dividend received from joint ventures and other company were Baht 400