2016 % Change Cash and cash equivalents 100 92 +9% Trade receivables 781 731 +7% Inventories 1,044 812 +29% Other current assets 179 96 +86% Total current assets 2,105 1,731 +22% Property, plant and
of Position 31-Dec-16 31-Dec-17 Change MB % MB % MB % Assets Cash and cash equivalents 70.1 3.1% 6.0 0.2% (64.02) -91.4% Trade and other receivables 33.5 1.5% 39.0 1.6% 5.4 16.2% Property Development
% MB % Assets Cash and cash equivalents 70.1 3.1% 6.0 0.2% (64.02) -91.4% Trade and other receivables 33.5 1.5% 39.0 1.6% 5.4 16.2% Property Development Cost 96.5 4.3% 243.9 9.8% 147.4 152.8% Investment
-30/06/21) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19 -31/12/19) Accounting Type Consolidate Consolidate Consolidate Consolidate Consolidate Cash And Cash Equivalents
Consolidate Consolidate Consolidate Cash And Cash Equivalents 149.85 432.36 102.63 66.34 219.18 A/R Net 136.74 135.26 134.52 131.14 171.16 Inventories 48.79 37.24 39.26 31.26 37.37 Current Assets 1,040.04
) 2019 (01/01/19 -31/12/19) Accounting Type Consolidate Consolidate Consolidate Consolidate Consolidate Cash And Cash Equivalents 330.23 30.60 17.66 164.48 26.74 A/R Net 119.26 72.78 94.11 90.79 99.94
) 2019 (01/01/19 -31/12/19) Accounting Type Consolidate Consolidate Consolidate Consolidate Consolidate Cash And Cash Equivalents 118.83 105.48 71.56 353.39 52.16 A/R Net 490.04 409.26 396.82 647.11
Equivalents 36.07 140.35 50.88 3.15 49.82 A/R Net 37.55 13.98 22.20 15.16 25.72 Inventories 1,180.50 1,047.17 1,243.31 2,249.97 2,138.70 Current Assets 1,364.09 1,201.50 1,424.85 2,268.27 2,214.87 PP&E Net
Consolidate Consolidate Cash And Cash Equivalents 28.12 29.49 45.24 13.95 17.06 A/R Net 546.57 527.62 478.68 471.67 315.22 Inventories 171.36 146.20 152.25 125.97 116.98 Current Assets 755.85 710.54 685.24
equivalents increase by 23.52 million bath as a result of cash from capital increase, trade accounts receivable increase by Baht 9.26 million and inventory increase by Baht 18.42 million, which was in line with