of Business Operation for FY2018 Bangchak Corporation Plc. I 2 Table of Content Management Discussion & Analysis of Business Operation 03 Executive Summary 05 Important Events 08 Statement of Income 10
ดำเนินการเพื่อประโยชน์ในการกำหนดรายชื่อผู้ถือโทเคนดิจิทัลรายวัน (Daily Cap Table Generator) โดยดึงข้อมูลผู้ถือโทเคนดิจิทัลจากระบบของผู้ออกโทเคนดิจิทัล (“issuer”) และศูนย์ซื้อขายสินทรัพย์ดิจิทัล
been appointed to fulfill the Board of Directors. หนา้ 9 4.2 Statement of Financial Position The following table sets forth a summary of the statement of financial position for the years ended December
31,2020, the Company has total assets of Baht 118,978 million, which increased by Baht 3,188 million or 2.8% from year-end 2019. This table mainly presents items that has significant changes. Unit: Baht in
of March 31,2020, the Company has total assets of Baht 118,978 million, which increased by Baht 3,188 million or 2.8% from year-end 2019. This table mainly presents items that has significant changes
–net This table mainly presents items that has significant changes. Unit: Baht in Million Q 2/2563 Q 1/2563 qoq Q 2/2562 yoy 6 Months 6 Months yoy % Inc. (Dec.) % Inc. (Dec.) 2020 2019 % Inc. (Dec
Transfer fee Remark: ……………………………………………………………… ………………………………………………………………………… ………………………………………………………………………… Proportion of asset types invested List of Top 5 Holdings Weight According to Credit Rating (%) Table
Transfer fee Remark: ……………………………………………………………… ………………………………………………………………………… ………………………………………………………………………… Proportion of asset types invested List of Top 5 Holdings Weight According to Credit Rating (%) Table
of asset types invested List of Top 5 Holdings Weight According to Credit Rating (%) Table Table Table Table Table Class Code Investment exceeding 20% of NAV in other funds (domestic funds and/or
: ……………………………………………………………… ………………………………………………………………………… ………………………………………………………………………… Proportion of asset types invested List of Top 5 Holdings Weight According to Credit Rating (%) Table Table Table Table Table Class Code Investment exceeding 20% of NAV in other funds (domestic funds and/or