Expenses Selling and Administrative expenses in Q2/2020 were THB 118 million consisting of selling expenses (THB 73 million) and administration expenses (THB 45 million). Selling expenses and Administrative
) from Baht 2,600 million as of 31 December 2019. Source of Funds The Company had net cash inflow of Baht 190 million consisting of the followings; • Cash inflow from financing activities mainly consisting
Total Revenue 4,415.03 100.00 4,184.67 100.00 230.36 5.50 The Corporate Group’s total revenue of year 2018 increased from the same period of previous year by 5.50 percent, consisting of: Revenues from
revenue of year 2019 increased from the previous year by 11.11 percent, consisting of: Revenues from sales were Baht 4,326.87 million, which increased from the previous year by Baht 378.02 million or 9.57
4,184.67 100.00 4,160.85 100.00 23.82 0.57 The Corporate Group’s total revenue of year 2017 increased from the same period of previous year by 0.57 percent, consisting of: Revenues from sales were Baht
16.64 percent, consisting of: Revenues from sales were Baht 1,213.54 million, which increased from the same period of previous year by Baht 118.63 million or 10.83 percent, due to the increase in revenue
increased from the same period of previous year by 3.79 percent, consisting of: Revenues from sales were Baht 1,108.57 million, which increased from the same period of previous year by Baht 43.45 million or
1.27% due to 1. Current assets increased amount of 455.90 million Baht or 309.71% consisting of Cash and cash equivalents decreased amount of 6.15 million Baht or 32.52%. Trade and other receivables
from the previous year, equivalent to 51.58% due to 1. Current assets decreased amount of 48.66 million Baht or 33.06% consisting of Cash and cash equivalents decreased amount of 11.62 million Baht or
) Total Revenue 1,237.22 100.00 1,394.73 100.00 (157.51) (11.29) The Corporate Group’s total revenue in the 1st Quarter 2020 increased from the same period of previous year by 11.29 percent, consisting of