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) Change The group has revenue from construction under a concession arrangement for the first quarter of 2020 amounting to Baht 131.3 million which is the revenue from construction of Municipality Solid
(“the Group”) as follow: Q3-2019 Q2-2020 Q3-2020 9M-2019 9M-2020 Change THB Mn THB Mn THB Mn %QoQ %YoY THB Mn THB Mn %YoY Sales of goods and services 1,142.7 1,139.5 1,182.8 3.8% 3.5% 3,399.0 3,438.0 1.1
-2021 6M-2020 6M-2021 Change THB Mn THB Mn THB Mn %QoQ %YoY THB Mn THB Mn %YoY Sales of goods and services 1,139.5 1,214.9 1,284.4 5.7% 12.7% 2,255.2 2,499.3 10.8% Revenue from finance lease under power
quarter of 2020 and one municipal solid waste power plant in Krabi which started its commercial operation since late December 2020. Net gain on exchange rate Q3-2020 Q2-2021 Q3-2021 9M-2020 9M-2021 Change
, consists of unrealised gain on exchange rate of receivable under finance lease agreement, gain on forward contracts and insurance claim. Change QoQ Consolidated financial statements Change YOY Financial
subsidiaries (“the Group”) as follow: Q2-2019 Q1-2020 Q2-2020 6M-2019 6M-2020 Change THB Mn THB Mn THB Mn %QoQ %YoY THB Mn THB Mn %YoY Sales of goods and services 1,145.8 1,115.7 1,139.5 2.1% (0.5%) 2,256.3
Change (Unit: %) 2023 2024 2024 %QoQ %YoY 2023 2024 %YoY Biomass Power Plant 25.4 22.6 24.3 1.7 (1.1) 26.7 23.5 (3.2) Natural Gas Power Plant 21.2 23.4 24.3 0.9 3.1 20.5 23.8 3.3 Municipal Solid Waste
: Consolidated financial statements Quarter 3 Quarter 2 Quarter 3 Change 9-month 9-month Change (Unit: THB Mn) 2023 2024 2024 %QoQ %YoY 2023 2024 %YoY Sales of goods and services 1,522.3 1,460.4 1,631.4 11.7% 7.2
exchange rate of receivable under finance lease agreement, gain(loss) on forward contracts, insurance claim and gain from business acquisition. Change QoQ Consolidated financial statements Change YoY 2