Assets (ROA) (%) 21.45% 13.74% 7.71% Remark: * Calculated based on the number of issued and paid-up ordinary shares deducted by the number of treasury share GP = Gross Profit, EBITDA = Earnings before
Interbank and money market items 9,820.6 15,346.1 (5,525.5) (36.0) Debts issued and borrowings - net 30,153.1 32,895.6 (2,742.5) (8.3) Other liabilities 2,409.9 2,584.1 (174.2) (6.7) Total liabilities
% Return on Assets (ROA) (%) 19.58% 13.74% 5.84% Remark: * Calculated based on the number of issued and paid-up ordinary shares deducted by the number of treasury share GP = Gross Profit, EBITDA = Earnings
February 12th, 2020 has passed a resolution to approve the Company and/or Prospect Development Company Limited (“PD”), a subsidiary in which the Company holds 99.99% of shares issued and sold, to enter into
securities 122 122 (0) (0.3) Others 7 5 2 31.0 Interest expense 1,301 1,386 (85) (6.1) Interest on deposits 799 811 (12) (1.5) Interest on interbank and money market items 57 56 1 1.1 Interest on debt issued
(%YTD) Deposits 163,318.7 164,984.8 (1,666.1) (1.0) Interbank and money market items 11,801.8 10,467.0 1,334.8 12.8 Debts issued and borrowings - net 15,858.7 21,805.6 (5,946.9) (27.3) Other liabilities
3,263.8 1.8 Interbank and money market items 12,561.4 12,336.8 224.6 1.8 Debts issued and borrowings - net 10,707.6 11,393.9 (686.3) (6.0) Other liabilities 3,459.9 4,230.2 (770.3) (18.2) Total liabilities
expense 985 1,106 (10.9) 1,301 (24.3) Interest on deposits 654 737 (11.3) 799 (18.2) Interest on interbank and money market items 26 22 15.5 57 (55.1) Interest on debt issued and borrowings 134 177 (24.3
จะปิดยอด คงเหลือเป็นศูนย์โดยอัตโนมัติเมื่อพ้นวันครบกำหนดอายุ 7.2 กรณีไถ่ถอนตราสารก่อนวันครบกำหนดอายุ (put/call option) หรือใช้สิทธิแปลงเป็นหุ้นตาม หุ้นกู้ที่มีอนุพันธ์แฝง สำหรับตราสารที่มี issued date
and relevant employees at least once a year about the following law, regulations, and documents: (1) the law on securities and exchange2, and any regulations issued by virtue of such law; (2) the codes