Total loan loss reserve/ Total mandatory reserve 186.3 186.3 184.4 182.4 167.0 170.9 170.9 4 Profit and Loss Transaction For the year ended December 31, CONSOLIDATED Change (BAHT'000) 2019 2018 Amount
. ASSETS CONSOLIDATED Change (BAHT'000) Jun 30, 2017 Dec 31, 2016 Amount % Cash 1,018,732 1,167,425 (148,693) (12.7) Interbank and money market items, net 32,783,432 11,484,482 21,298,950 185.5 Derivatives
. ASSETS CONSOLIDATED Change (BAHT'000) Jun 30, 2017 Dec 31, 2016 Amount % Cash 1,018,732 1,167,425 (148,693) (12.7) Interbank and money market items, net 32,783,432 11,484,482 21,298,950 185.5 Derivatives
/ Total mandatory reserve 183.0 183.0 186.3 184.4 182.4 182.4 4 Profit and Loss Transaction For the three-month period ended June 30, CONSOLIDATED Change (BAHT'000) 2019 2018 Amount % Interest income
% from the end of 2018. ASSETS CONSOLIDATED Change (BAHT'000) Jun 30, 2019 Dec 31, 2018 Amount % Cash 1,097,806 1,335,668 (237,862) (17.8) Interbank and money market items, net 4,940,598 28,199,589
185.1 185.1 188.6 186.1 183.0 183.0 4 Profit and Loss Transaction For the three month period ended June 30, CONSOLIDATED Change (BAHT'000) 2018 2017 Amount % Interest income 3,974,188 3,677,566 296,622
Transaction For the three month period ended June 30, CONSOLIDATED Change (BAHT'000) 2018 2017 Amount % Interest income 3,974,188 3,677,566 296,622 8.1 Interest expenses 1,223,771 1,029,550 194,221 18.9
CONSOLIDATED Change (BAHT'000) Sept 30, 2018 Dec 31, 2017 Amount % Cash 1,134,200 1,424,564 (290,364) (20.4) Interbank and money market items, net 16,408,888 11,510,827 4,898,061 42.6 Derivatives assets
CONSOLIDATED Change (BAHT'000) Sept 30, 2018 Dec 31, 2017 Amount % Cash 1,134,200 1,424,564 (290,364) (20.4) Interbank and money market items, net 16,408,888 11,510,827 4,898,061 42.6 Derivatives assets
31, CONSOLIDATED Change (BAHT'000) 2018 2017 Amount % Interest income 16,294,353 14,844,465 1,449,888 9.8 Interest expenses 5,032,721 4,216,027 816,694 19.4 Interest income, net 11,261,632 10,628,438