operating profit and (2) cash outflows from net change in working capital of Baht 334 million mainly due to higher trade receivables and inventories. Net cash used in investing activities of Baht 408
liabilities of Baht 137 million; and (2) cash inflows from net change in working capital of Baht 196 million, mainly due to decrease of account receivable and inventories. Net cash used in investing
in operating assets and liabilities of Baht 155 million; and (2) cash inflows from net change in working capital of Baht 88 million, mainly due to increase of account receivable and a decrease in
million, consisting of (1) cash inflows from operating activities before changes in operating assets and liabilities of Baht 78 million; and (2) cash inflows from net change in working capital of Baht 78
LIMITED Management’s Discussion and Analysis Change in Capital Structure • Total assets increased by 3.7% from the end of 2019 to THB 126,167 million as of June 30, 2020, primarily due to the continual
(million shares) 2,607 2,607 2,607 2,607 B.GRIMM POWER PUBLIC COMPANY LIMITED Management’s Discussion and Analysis Change in Capital Structure • Total assets increased 12.8% from Baht 89,241 million as of
Management’s Discussion and Analysis Change in Capital Structure • Total assets increased 5.4% from Baht 89,241 million as of December 31, 2017 to Baht 94,020 million as of September 30, 2018, primarily due to
Management’s Discussion and Analysis Change in Capital Structure • Total assets increased by 6.7% from the end of 2019 to THB 129,907 million as of March 31, 2020, primarily due to the continual expansion of
calculation (million shares) 2,607 2,607 2,607 2,607 B.GRIMM POWER PUBLIC COMPANY LIMITED Management’s Discussion and Analysis Change in Capital Structure Total assets decreased 0.3% from Baht 89,241 million
(million shares) 1,890 2,607 2,607 2,607 B.GRIMM POWER PUBLIC COMPANY LIMITED Management’s Discussion and Analysis Change in Capital Structure Total assets increased 0.4% from Baht 89,241 million as of