third parties, such as other intermediaries, financial institutions or affiliated companies in the group of financial business who have readiness in personnel and operating system relating to the
, AIS reported operating cash flow of Bt62,078mn, increasing 12% YoY aligned with 6.2% growth in EBITDA. The CAPEX was Bt15,819mn decreased by 4. 2% , which accounted for 12% of the 9M19 total revenue
, AIS reported operating cash flow of Bt62,078mn, increasing 12% YoY aligned with 6.2% growth in EBITDA. The CAPEX was Bt15,819mn decreased by 4. 2% , which accounted for 12% of the 9M19 total revenue
share as at December 31, 2019. Liquidity Cash Flow Activities For the six- month period ended June 30, 2020, the Company and its subsidiaries generated cash flows from operating activities of
of Bt8,577mn, increasing 19% YoY and increasing 1.5% QoQ following a better operating performance. 2Q24 MD&A Advanced Info Service Plc. 2 2Q24 Operational Summary Mobile Service: In 2Q24, mobile
of Bt8,577mn, increasing 19% YoY and increasing 1.5% QoQ following a better operating performance. updated 2Q24 MD&A Advanced Info Service Plc. 2 2Q24 Operational Summary Mobile Service: In 2Q24
of the Office of the Securities and Exchange Commission No. OrKhor./Nor. 5/2549 Re: Guidelines Relating to Operating Systems of Fund Management Business In order for a management company to comply
of the Securities and Exchange Commission No. OrKhor./Nor. 5/2549 Re: Guidelines Relating to Operating Systems of Fund Management Business In order for a management company to comply effectively with
would like to clarify the change in operating results the year ended December 31, 2018 with details as follows: Unit : million baht Statement of financial position For the year ended 31 December 2018
: President of the Stock Exchange of Thailand Ua Withya Public Company Limited ("Company") would like to describe and analyze the financial position and operating results for quarter 2-2017 are summarized as