liability - - 64,263 64,263 Equity 65,548 (776) - 64,772 Income statement Previous Accounting policy Adjustment from TFRS9 Adjustment from TFRS16 Current accounting policy Revenue 42,845 - - 42,845 Cost Cost
liability - - 64,263 64,263 Equity 65,548 (776) - 64,772 Income statement Previous Accounting policy Adjustment from TFRS9 Adjustment from TFRS16 Current accounting policy Revenue 42,845 - - 42,845 Cost Cost
, EGCO PLUS and NTPC decreased as follows: Paju ES: Unit : Million Baht Quarter 2 Change Increase (Decrease) 2019 2018 Amount % Electricity revenue 3,705 - 3,705 100% Other income 91 - 91 100% Total
-ZE (29.78) NTA WINNER (604.68) 4.93 % 2. Net income Proportion of assets acquired (100%) x Net income AT-ZE (5.47) Net income WINNER (104.39) 5.24 % 3. Value of consideration paid Value of
understand the Company and its subsidiaries’ 2018 audited financial statements. An Analysis of Performance * Analysis of Income The Company and its subsidiaries recorded the total revenue of 20,171 MTHB of
: The Company had profit for the 2nd quarter ended June 30, 2020 in the amount of Baht 6.83 million (earnings per share of Baht 0.68), compared to the same quarter of last year which had profit of Baht
% to our growth year-on-year upon consolidating the result of our newly acquired subsidiary, Tiger Soft (1998) Company Limited (“TigerSoft”). Revenue from our Financial Solutions decreased by 14.32mb or
Tambon Ladsawai, Amphur Lamlukka, Pathumthani 12150, Thailand Tel : +66(0) 2192 3737 Fax : +66(0) 2192 3741-44 www.eurekadesign.co.th 3) Details of the assets acquired Ordinary shares of 399,990 shares or
21% Corporate income tax 8 - 10 - 18 -180% 10 - 2 12 -600% Earnings (Loss) for the Period - 183 - 14 - 169 1207% - 115 - 9 - 106 1178% Non controlling interest 3 3 - 0% - - - 0% Net Earnings (Loss
CITY PCL 2019 - MD&A (for the year ended 31 December 2019) 5 U CITY PCL SEGMENTAL PERFORMANCE 2019 REVENUE CONTRIBUTION BY SEGMENT 2019 REVENUE GROWTH CONTRIBUTION * Other revenue and management income