1,002.80 million consisted of; 1. Trade and other receivable decreased Baht 138.67 million. 2. Inventories decreased Baht 828.53 million, mostly from goods in transit as of December 31, 2018 which was
materials. Increased in inventories of THB 45.76 million, mainly due to goods in transit for THB 22.58 million. Increase of right-of-use assets (ROU) for THB 302.57 million which is acknowledged for lease
water towers are under construction. 2. Water Supply Plant Phase 1 (Thai Muang) 58% • Water production plant is under construction. • Clear water tank. In transit from England. 3. Pipeline for delivery of
tank. In transit from England. 3. Pipeline for delivery of water about 24 km fromTambon Tai Muang to Tambon Mai Khao 73% Purchase plumbing processed. Pipe laying is underway. 4. water supply and
% • Water production plant is under construction. • Clear water tank. In transit from England. 3. Pipeline for delivery of water about 24 km fromTambon Tai Muang to Tambon Mai Khao 73% • Purchase plumbing
) (864) 17% Profit/(loss) before income tax expense 1,379 363 700 -49% 93% 2,971 1,063 -64% Income tax (expense) credit (253) 32 (25) -90% 179% (476) 7 -101% Profit for the period 1,126 395 675 -40% 71
to 227.9 mil. baht. - Total expenses increased 9% or 20.1 mil. baht to 244.4 mil. baht due to the following: 1) The Company had just detected a fraudulent practice of our credit supervisor and need to
million as a result of the revenue increase, additional property tax of Baht 8.5 million and higher credit card commissions. As a result, Net profit for the year increased by Baht 63.3 million or 41.5
จะถือทรัพย์สินทีลงทนุไว้จนครบอายโุครงการของกองทนุรวม (buy-and-hold fund) 2 ปัจจัยความเสี'ยงที'สําคัญ 1. ความเสี'ยงจากการผิดนัดชาํระหนี ของผู้ออกตราสาร (Credit Risk) credit rating ตาม national credit
จะถือทรัพย์สินทีลงทนุไว้จนครบอายโุครงการของกองทนุรวม (buy-and-hold fund) 2 ปัจจัยความเสี'ยงที'สําคัญ 1. ความเสี'ยงจากการผิดนัดชาํระหนี ของผู้ออกตราสาร (Credit Risk) credit rating ตาม national credit