decreased by 12.81 million. Thousand Baht Consolidated Financial Statement as of Changes % 31 Mar 2020 31 Dec 2019 Total Assets 2,794,473 2,436,895 14.67% Total Liabilities 1,041,469 725,259 43.60% Equity
Financial Statement as of Changes % 30 Jun 2020 31 Dec 2019 Total Assets 2,939,259 2,436,895 20.61% Total Liabilities 1,111,861 725,259 53.31% Equity Attributable to Owners of the Company 1,489,662 1,452,254
2019 31 Dec 2018 Total Assets 2,265,288 1,965,799 15.23% Total Liabilities 671,111 572,286 17.27% Equity Attributable to Owners of the company 1,442,302 1,326,279 8.75% Non-Controlling Interests 151,875
69.33 60.13 9.19 15.29 Total Shareholders’ Equity 480.02 465.74 14.28 3.07 Assets Total assets of the Company and its subsidiaries as of March 31, 2020 were 549.35 million baht, an increase of 23.48
Statements of Financial Position as of June 30, 2020 has changed from December 31, 2019 as follows; Assets (Mill. Baht) Total Liabilities & Shareholders' Equity (Mill. Baht) Cash and cash equivalents Total
Statement as of Changes % 30 Sep 2020 31 Dec 2019 Total Assets 2,950,920 2,201,077 34.07% Total Liabilities 1,171,619 678,208 72.75% Equity Attributable to Owners of the Company 1,653,999 1,420,306 16.45% Non
% 61.42 57.2% Net Assets 1,119.48 91.3% 1,166.02 87.4% 46.54 4.2% Equity 1,119.48 91.3% 1,166.02 87.4% 46.54 4.2% (a) Total assets Total asset as at September 30, 2019 stand at 1,334.75mb, an increase of
attached. Please be informed accordingly. Sincerely yours, -Signature- (Miss Nilrat Jarumanopas) Chief Financial Officer Authorized to sign on behalf of the Company Information Memorandum on Disposition of
, liabilities and shareholders’ equity of the Company’s group as follows: Impacted Items to the Companies Group Estimated as at 30 December 2017 Cost Basis (Before Change) Revaluation Basis (After Change
Minority Shareholder Equity (Baht) – (4) 0 JAS ASSET Page 3/4 Items Detail Net Tangible Asset (Baht) = (1) – (2) – (3) – (4) 1,250,654,181 Total value transaction = Value of Interest Rate over the period of