(12.2) - 1.6 (1.6) Total 9.7 80.2 (70.5) 14.3 49.2 (34.9) (4.6) 31.0 (36.4) Segment Revenue Cost Gross Profit For six-month period ended 30 June For six-month period ended 30 June For six-month period
year. Profit to equity holders of the parent is 89.57 Million Baht increase of 51.82 Million Baht or 137.29% comparing to the same period last year, this is caused by followings: Total revenues from the
Revenue from project works and services 336.70 364.47 (27.77) (7.62) Total Revenue from Sale and Services 1,025.86 1,018.36 7.50 0.74 Cost of sales of goods 489.49 456.91 32.58 7.13 Cost of project works
of Assets, 2547 and as amended. When taking into account all other asset acquisitions made during 6 months prior to the date the decision is made to enter into the transaction, total size of the said
Company Limited ("CWTG"), a subsidiary company in which the Company Holding 100% of total shares Additional investment in Blue Solar Farm 3 Company Limited ("BSF3"), which operates in the production and
) Objective Working Capital for development of projects. 3 3. Total Value and Valuation criteria of the transaction. The Connected Transaction that occurred during the period of 6 months that the company renew
) Objective Working Capital for development of projects. 3 3. Total Value and Valuation criteria of the transaction. The Connected Transaction that occurred during the period of 6 months that the company renew
increase in employee costs, inventories costs, and repair and maintenance expenses. Statement of financial position As of December 31, 2019 and March 31, 2020, the Company’s total assets amounted to Baht
Position As at 31 March 2020, total consolidated assets of the Company and its subsidiary increased by Baht 68.58 million or 2.33% compared with last year. An increase mainly caused by Right-of-use assets
from project works and services 68.44 80.96 (12.52) (15.46) Total Revenue from Sale and Services 225.02 248.60 (23.58) (9.49) Cost of sales of goods 108.49 118.22 (9.73) (8.23) Cost of project works and