activities 391.1 2,244.0 Net cash flow used in financing activities (1,590.1) (2,099.5) Cash and cash equivalents at end of the period 3,953.4 3,948.2 25 ASIA’S BOUTIQUE AIRLINE Cash flows from operating
cash inflow from operating activities 1,975.6 888.9 Net cash inflow from investing activities 1,260.7 2,254.0 Net cash used in financing activities (2,284.6) (2,398.1) Cash and cash equivalents at end of
accordingly with the business environment, increases in management fees and share of profit from investment in CPNREIT. In 3Q18, weighted average financing cost stood at 3.27% Capital Structure As of September
flows from (used in) investing activities 1,495.1 817.2 Net cash flows used in financing activities (1,745.6) (1,916.2) Cash and cash equivalents at end of the year 5,273.1 4,347.7 21 ASIA’S BOUTIQUE
at June 30, 2020 As at June 30, 2019 Net cash flows from operating activities (3,088.9) 956.5 Net cash flows from investing activities 2,061.1 (165.9) Net cash flows used in financing activities
เพ่ิมข้ึนจากปีก่อน 0.6 ลา้นบาทเน่ืองจากมีการโฆษณาเพื่อประชาสมัพนัธ์เกม Home Sweet Home 2 • ค่าใชจ่้ายอ่ืนประกอบ คือขาดทุนจากอตัราแลกเปล่ียน ขาดทุนจากการขายสินทรัพยซ่ึ์งไม่ใช่การด าเนินงานหลกัของบริษทัฯ • ส าห
128.77 139.87 11.10 8.62% DTT, Cabsat 48.16 33.65 (14.51) (30.13%) DTT, Cabsat, VOD 12.55 11.15 (1.40) (11.16%) DTT, VOD 11.44 5.46 (5.98) (52.27%) VOD 30.73 42.35 11.62 37.81% VOD, Home 10.00 18.20 8.20
าเภอเมืองนนทบุรี จังหวัดนนทบุรี 11000 โทร : 0-2832-1000 โทรสาร : 0-2832-1234 Home Product Center Public Company Limited 31 Prachachuennonthaburi Road, Bangkhen, Amphoe Muang, Nonthaburi 11000 Tel : 0
closure of the rental and service business according to the COVID-19 outbreak control measures intended to limit the spread of COVID-19. The company measures of working from home to reduce the risk of
) follow the consumer behaviors changes during Stay-home campaign from the governments, consumer start to hoarding rice products, plus the reasons that the government ordered the closure of various stores