Indorama Ven- tures Public Company Limited for the third quarter of 2017 We are pleased to submit: 1. Consolidated and Company only Quarterly Reviewed Financial Statements for the third quarter of 2017 (a
(มหาชน) Items 1 2 3 4 5 6 7 transaction payment* payment* Amount (million baht) 70.00 10.00 100.00 7.00 100.00 22.00 30.00 339.00 Interest received(baht) 84,384 3,836 54,795 22,630 624,658 138,630 126,575
บรษิทั โกลบอล เซอรว์สิ เซ็นเตอร ์จาํกดั (มหาชน) Items 1 2 3 4 5 6 7 transaction payment* payment* Amount (million baht) 70.00 10.00 100.00 7.00 100.00 22.00 30.00 339.00 Interest received(baht) 84,384
) the offer for sale of the structure notes may cause damage or unfairness to investors in general, or the investors may not have received correct or sufficient information to support their investment
) Consolidated Financial Statements 2Q'19 2Q'18 % Change YTD 2019 YTD 2018 % Change Total Revenue 475.1 423.5 12.2% 934.5 845.4 10.5% - Utilities Business 473.6 422.7 12.1% 931.6 844.7 10.3% - Operating Revenue1
firms to measure fair values of investments in these 2 subsidiaries amount to 6,487 million Baht and recorded such investments in the consolidated statement of financial positions as at December 31, 2017
firms to measure fair values of investments in these 2 subsidiaries amount to 6,487 million Baht and recorded such investments in the consolidated statement of financial positions as at December 31, 2017
) Consolidated Financial Statements 2Q'18 2Q'17 % Change YTD 2018 YTD 2017 % Change Revenue from Sales and Services 423.5 405.5 4.4% 845.4 793.5 6.5% - Operating Revenue1 420.5 383.6 9.6% 841.1 761.2 10.5% - Other
QUARTERLY BUSINESS HIGHLIGHTS – 3M 2020 Consolidated revenue decreased by 13.7% YoY to THB 612mn o Advertising revenue increased by 3.1% YoY to THB 270mn o System integration services revenue decreased by
equivalents were Baht 20,691 million, decreasing by Baht 14,186 million comparing to December 31, 2018. The details are as follows: Unit: Million Baht Net cash received from operating activities 8,108 Net cash