เงินสด (Discounted Cash Flow) 6. ความเห็นของคณะกรรมการบริษัทฯ เกี่ยวกับการเขาทํารายการ ท่ีประชุมคณะกรรมการบริษัทฯ คร้ังท่ี 7/2561 เม่ือวันท่ี 7 ธันวาคม 2561 ไดพิจารณาแลวเห็นวารายการดังกลาวมีความ สม
เงินสดสทุธิในอนาคตของสินทรัพย์ (Discounted Cash Flow) 7. ผลประโยชน์ที่คาดว่าจะได้รับ คาดว่าจะท าให้บริษัทฯ มีเงินทุนหมนุเวียนเพียงพอท่ีจะน ามาพฒันาโครงการใหม่ เพื่อให้เป็นไปตามแผนการขยาย ธุรกิจของบริษัทฯ
million causing for paid of dividend. Statement of Cash flow For nine-month period ended 30 September 2019, the Group had net cash flows generated from operating activities of THB 329.77 million, net cash
representing 7% of total company customers. The Company and subsidiaries have managed liquidity risk of operating cash flow under the COVID-19 situation with soft loan facilities of 5 billion baht from
representing 7% of total company customers. The Company and subsidiaries have managed liquidity risk of operating cash flow under the COVID-19 situation with soft loan facilities of 5 billion baht from
173,206 with representing 9% of total company customers. The Company and subsidiaries have managed liquidity risk of operating cash flow under the COVID-19 situation with soft loan facilities in the amount
customers more than 133,535 with representing 5% of total company customers. The Company and subsidiaries have managed liquidity risk of operating cash flow under the COVID- 19 situation with soft loan
well as any other related fees and expenses). 6. Criteria for determining the investment value Determined by using the discounted cash flow approach. 7. Expected benefits The Company expects to have
the current year, the Company arranged for a new economic valuation by engaging another independent appraiser, and found that the fair value had decreased. The Company therefore recorded loss resulting
other payables. These were done as preparations for coming future developments. The Group were also able to collect deposits and advances received from customers from the current 35 available projects