presented under shareholders’ equity in the statement of financial position. From the revaluation of land, total assets and other comprehensive income increased by Baht 3,011.4 million and deferred tax
times in 2020 and 0.16 times in 2019, Which shows the company's liquidity outlook improved due to the fact that inventories are classified as current assets with very little liquidity. Therefore
Report on the Connected Transaction 16/01/2020 20:15 Information Memorandum on the Acquisition of Assets of Safari World Public Co., Ltd; An increasing of investment cost in Carnival Magic Project. (No.2
receivable, rental income and profit from income tax of the sale of assets. The financial structure of the Company was in the strength level and cash flow could be managed effectively, hence, there was no
. Financial Status As of 31 March 2020, the company had total assets of 4,712.98 million baht, decreased by 135.80 million baht compared to 30 September 2019 mainly due to the decrease of cash and cash
available locally. As such, the company can expect a wider investment mandate that focuses on high quality tangible assets in the sectors of real estate and renewable energy. In addition, the Company
, representing 0.0563 % of the net tangible assets value (NTA as of March 31, 2020 = Baht 5,597.20 million), paying by cash for the whole amount. The size of the transaction is medium, which is exceed 0.03% but
demand from Computer graphic for game teaser. 30 June 2020 31 December 2019 Assets 373,535,743 423,148,055 -11.72% Liabilities 30,875,378 62,485,201 -50.59% Equity 342,660,365 360,662,854 -4.99% (Unit: THB
2019 (Audited) Change Increase (Decrease) THB million % THB million % THB million % Total assets 415.40 100.00% 400.73 100.00% 14.67 3.66% Total liabilities 121.90 29.35% 110.69 27.62% 11.21 10.13% Total
of deposit interest rate and the loss from fair value measurement of other current financial assets which is short-term investment amount to Baht 0.13 million. Previous year, the Company gained profit