% (25.36) (13.74%) 468.48 4.16% 431.02 4.17% (37.46) (8.00%) Administrative expenses 90.77 2.53% 88.27 2.46% (2.50) (2.76%) 266.44 2.37% 267.35 2.59% 0.91 0.34% Profit from operating activities 26.23 0.73
Group”) as follow: * Extraordinary items from non-operating, consists of unrealized gain (loss) on exchange rate of receivable under finance lease and gain (loss) on forward contracts. Consolidated
608.15 4.22% 589.08 4.36% (19.07) (3.14%) Administrative expenses 355.98 2.47% 359.98 2.66% 4.00 1.12% Profit from operating activities 271.85 1.89% 238.33 1.76% (33.52) (12.33%) Finance income 5.90 0.04
items from non-operating, consists of unrealized gain (loss) on exchange rate of receivable under finance lease and gain (loss) on forward contracts. Consolidated financial statements Quarter 2 Quarter 1
profit from ordinary activities attributable to the parent 284.1 210.6 269.3 27.9% (5.2%) 840.6 646.1 (23.1%) Financial Performance of the Group 2 * Extraordinary items from non-operating, consists of
PUBLIC COMPANY LIMITED SCC: THE SIAM CEMENT PUBLIC COMPANY LIMITED SCCC: SIAM CITY CEMENT PUBLIC COMPANY LIMITED SCG: SAHACOGEN (CHONBURI) PUBLIC COMPANY LIMITED SCGP: SCG PACKAGING PUBLIC COMPANY LIMITED
COMPANY LIMITED SAWANG: SAWANG EXPORT PUBLIC COMPANY LIMITED SC: SC ASSET CORPORATION PUBLIC COMPANY LIMITED SCB: SCB X PUBLIC COMPANY LIMITED SCC: THE SIAM CEMENT PUBLIC COMPANY LIMITED SCCC: SIAM CITY
, 29 day, amount 200 million, due on 30 September,2022. 200.00 25/08/2022 01/09/2022 01/09/2022 THE SIAM CEMENT PUBLIC COMPANY LIMITED Debenture - Long Term PO/MTN Debentures of the Siam Cement
LIMITED SHUN THAI RUBBER GLOVES INDUSTRY PUBLIC COMPANY LIMITED SIAM CITY CEMENT PUBLIC COMPANY LIMITED SIAM FOOD PRODUCTS PUBLIC COMPANY LIMITED SIAM FUTURE DEVELOPMENT PUBLIC COMPANY LIMITED SIAM GLOBAL
LIMITED SHUN THAI RUBBER GLOVES INDUSTRY PUBLIC COMPANY LIMITED SIAM CITY CEMENT PUBLIC COMPANY LIMITED SIAM FOOD PRODUCTS PUBLIC COMPANY LIMITED SIAM FUTURE DEVELOPMENT PUBLIC COMPANY LIMITED SIAM GLOBAL