1,923 million. Net cash used in investing activities THB 1,655 million was mainly from an investing in new glass factory (SGA2), work in progress of beverage manufacturing facilities in Myanmar and new
and equipment increased by Baht 91.09 million due to the purchase of 21 branches, in accordance with the purchase asset agreement of Baht 66.17 million and construction in progress amounted to Baht
and work on progress of construction: As at 30th September and 31st March 2018, the Company and its subsidiaries had Land, plant and equipments – net of Baht 514.04 million (or 21.97 percent of total
with the purchase asset agreement of Baht 66.17 million and construction in progress amounted to Baht 36.05 million. And non-current assets increased amount Baht 11.32 million consisting of deposits for
and work on progress of construction: As at 31st December and 31st March 2019, the Company and its subsidiaries had Land, plant and equipments – net of Baht 538.97 million (or 27.42 percent of total
- 1,500 million per year. However, this expansion plan can be adjusted depending on changes of future situation. Progress of fire accident According to fire accident which affected production capacity of
subsidiary company. 2.1.4 Land, plant and equipments - Land and improvements, building, machinery, office equipments, vehicles and work on progress of construction: As at and 31st March 2020 and 2019, the
. 2.1.4 Land, plant and equipments - Land and improvements, building, machinery, office equipments, vehicles, right of use and work on progress of construction: As at and 30th June 2020 and 31st March 2020
was the construction in progress for Carnival Magic project., animals and plants of Baht 55.62 million much of the purchase of animals. Cash and cash equivalents decreased of Baht 106.87 million
, machinery, office equipment, vehicles, right of use and work on progress of construction: As at and 30th September 2020 and 31st March 2020, the Company and its subsidiaries had Land, plant and equipment