Time 0.67 0.88 0.50 7. Total assets turnover ratio Time 0.12 0.15 0.09 8. Debt to equity ratio Time 0.09 0.09 0.10 9. Gross profit % 33.6 34.0 35.5 10. Net profit % 12.3 14.0 14.1 11. Rate of return on
time Day 621 406 242 6. Fixed asset turnover ratio Time 0.34 0.67 0.72 7. Total assets turnover ratio Time 0.07 0.12 0.12 8. Debt to equity ratio Time 0.16 0.10 0.20 9. Gross profit % 32.8 33.70 34.90 10
December 2018, compared to 10.18% as of 31 December 2017. Net debt to equity was 0.12%, compared to 0.10% as of 31 December 2017. (Unit : Baht million) 31 DEC 18 31 DEC 17 Change Total assets 968.30 900.31
million) 31 DEC 19 31 DEC 18 Change Total assets 1093.46 968.30 12.93% Total liabilities 139.52 106.31 31.24% Total shareholder’s equity 911.06 855.08 6.55% Net debt to equity (D/E Ratio) 0.15 0.12 - Return
subsidiaries (“KSL”) would like to report our financial performance of the 1st quarter year 2019 (Nov 2018 – Jan 2019). The Company recorded total revenue of THB 3,043 million compare to THB 3,244 million last
(ROE) ratio was 4.93% and Net Debt to Equity ratio was 0.18 as of 31 March 2019. (Unit : Baht million) 31 MAR 19 (quarterly) 31 DEC 18 (yearly) Change Total Assets 1,068.05 968.30 10.30% Total
, representing an decrease of 40%. The Company's total assets were recorded at THB 51,755 million, with total liabilities of THB 32,925 million and total shareholders' equity of THB 18,830 million. Debt to Equity
million and total shareholders' equity of THB 18,639 million. Debt to Equity Ratio (D/E) and Interest Bearing Debt to Equity Ratio represented at 1.44 and 1.26, respectively. Yours faithfully, Mr.Chamroon
of 2020, other incomes were 2,715 million baht or 13% of total revenues, showing a decrease of 238 million baht or 8% y-y, mainly from reduce of selling Bad debt. Other revenues consist of bad debt
of 2020, other incomes were 2,715 million baht or 13% of total revenues, showing a decrease of 238 million baht or 8% y-y, mainly from reduce of selling Bad debt. Other revenues consist of bad debt