355 (24%) EBITDA 60 58 (3%) 210 172 (18%) Net Profit (Loss) for the Company 17 13 (24%) 55 4 (93%) Gross Profit Margin (%) 61.4% 59.6% (1.8%) 60.9% 57.3% (3.6%) EBITDA Margin1 (%) 28.6% 30.4% 1.8% 27.2
1 Forth Smart Service Public Company Limited (FSMART) 1Q18 Management Discussion and Analysis Operational Summary in 1Q18 Total revenue from core business was Bt842.14mn, an increase of 17.8 % YoY
under Origin Sathorn Company Limited, which has started transferring and repay loans from financial institutions completely. Therefore, there is a capital reduction and dividend payment to shareholders
บริษัท โฮม โปรดกัส์ เซ็นเตอร์ จ ำกดั (มหำชน) เลขที ่96/27 หมู่ที ่9 ต ำบลบำงเขน อ ำเภอเมอืง จังหวดันนทบุรี 11000 โทร : 0-2832-1000 โทรสำร : 0-2832-1234 Home Product Center Public Company Limited 96
บริษัท โฮม โปรดกัส์ เซ็นเตอร์ จ ำกดั (มหำชน) เลขที ่96/27 หมู่ที ่9 ต ำบลบำงเขน อ ำเภอเมอืง จังหวดันนทบุรี 11000 โทร : 0-2832-1000 โทรสำร : 0-2832-1234 Home Product Center Public Company Limited 96
Company Limited (the “Company”) would like to inform management discussion and analysis for its results of operations from the financial statements for the three-month period ended 30 June 2019 as follows
1 Forth Smart Service Public Company Limited (FSMART) 2Q18 Management Discussion and Analysis Operational Summary in 2Q18 Total revenue from core business was Bt848.81mn, an increase of 10.4% YoY
1 Forth Smart Service Public Company Limited (FSMART) 2Q18 Management Discussion and Analysis Operational Summary in 2Q18 Total revenue from core business was Bt848.81mn, an increase of 10.4% YoY
the financial statements in 2019 of the Company and subsidiary companies as well as the performance report as follows: L.P.N. Development Public Co., Ltd. and subsidiary companies provide a complete
Issued Ordinary Shares of the Company under the Debt to Equity Conversion Scheme. 5. After the Partial Repayment in 2. and the Trade Debt reduction in 4., the Company’s net outstanding debt before the debt