equipment declined due to the depreciation and the receipt of tax refund for the studio park project. The total liabilities amounted to 224.01 million baht or 0.51 baht million or 0.23%. The debt to equity
84.20 38.07 Investing Cash Flow 90.73 380.39 1.63 -212.62 -6.29 Financing Cash Flow -86.62 -40.00 -43.43 -24.43 -17.90 Net Cash Flow 47.22 366.02 36.29 -152.84 13.88 Statement of Financial Position (MB
Consolidate Consolidate Consolidate Operating Cash Flow 140.59 -62.50 -48.75 130.23 -3.66 Investing Cash Flow 300.54 -57.62 -138.74 -274.05 -126.85 Financing Cash Flow -128.56 -13.76 42.14 281.56 38.56 Net Cash
Consolidate Consolidate Consolidate Operating Cash Flow -116.51 -73.65 -161.84 205.80 -104.16 Investing Cash Flow -20.38 -8.60 10.74 -15.69 -101.30 Financing Cash Flow 184.72 -165.41 -130.21 110.71 221.05 Net
-106.45 -106.40 0.66 150.07 Financing Cash Flow -0.00 -417.64 -417.64 -4.56 87.97 Net Cash Flow -14.82 137.20 47.74 -46.68 12.81 Statement of Financial Position (MB.) 6M/2022 (01/01/22 -30/06/22) 6M/2021
122.70 Investing Cash Flow -7.28 -1.31 -8.85 -118.69 -187.93 Financing Cash Flow -70.99 -34.63 -99.03 -83.54 59.63 Net Cash Flow -17.12 15.53 31.29 -3.11 -5.61 Statement of Financial Position (MB.) 6M/2022
and employee benefit obligations by 1.8 MB. Shareholders' Equity As of June 30, 2019, the Company and its subsidiaries had total shareholder equity of 410.1 MB which increased from December 31, 2018
Financing Cash Flow 51.29 337.19 -236.50 -833.95 Net Cash Flow 257.42 -27.78 -56.76 26.48 Statement of Financial Position (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19 -31
Financing Cash Flow 3,420.52 1,239.41 392.70 470.12 Net Cash Flow 201.48 -104.44 36.92 76.88 Statement of Financial Position (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19
325.00 -108.85 130.44 Investing Cash Flow 157.18 -102.45 156.52 -25.82 Financing Cash Flow -107.94 -250.86 -84.90 -34.00 Net Cash Flow -16.27 -28.30 -37.23 70.63 Statement of Financial Position (MB.) 2021