of current portion 885.00 1,154.00 269.00 30.40% Other non-current liabilities 20.02 21.99 1.97 14.02% Total liabilities 1,197.14 1,568.02 370.88 30.98% Total shareholders' equity 2,054.06 2,112.38
379.72 31.72% Total shareholders' equity 2,054.06 2,164.84 110.78 5.39% Total liabilities and shareholders' equity 3,251.20 3,741.70 490.50 15.09% Total Assets The Company and its subsidiaries had total
installation of air tube systems for transfer documents and parcel (Pneumatic Tube Carrier Systems). Hi Healthcare Center Co., Ltd. was operated medical service concerning healthcare and esthetics under
liabilities 1,197.14 1,790.59 593.45 49.57% Total shareholders' equity 2,054.06 2,215.07 161.01 7.61% Total liabilities and shareholders' equity 3,251.20 4,005.66 754.46 23.21% Total Assets The Company and its
September 2023. Shareholders' Equity As of September 30, 2023, the Company had total equity increased by 151. 0 MB, representing an increase of 4.0% as of December 31, 2022. The increase in total Assets comes
finance statements) Item 2019 2018 Profit (Loss) for the year attributable to equity holders of the Company (from the consolidated financial statements) Baht (515.22) million Baht 418.04 million Profit
completion of COD of 5 SPPs since the second quarter of 2017 to the first quarter of 2018, adding the Company’s Equity MW under operation to 510.5 MW • Finance costs decreased by 25.3%, mainly from the fact
that had a planned maintenance. Moreover, there have also been a completion of COD of 5 SPPs since the second quarter of 2017 to the first quarter of 2018, adding the Company’s Equity MW under operation
maintenance. Moreover, there has also been a completion of COD of 5 SPPs since the second quarter of 2017 to the first quarter of 2018, adding the Company’s Equity MW under operation to 511 MW. Such impact from
22.2%. The decrease was mainly due to the transfer of cost of property development to movable investment property, which is fixed assets. (2) Debt to Equity Ratio The Company has debt to equity ratio as