million; and (2) cash inflows from net change in working capital of Baht 153 million, mainly due to lower trade receivables, inventories, and other receivables. Net cash used in investing activities of
stated) 2019 2018 Change Amount % Change Net profit (Loss) attributable to equity holders -181 1,299 -1,480 -113.94% Net profit attributable to equity holders (Exclude other expenses)* 902 1,299 -397
Company (excluding share of profit from investments in associates). V Net Profit (Unit: Million Baht) Second quarter 6-month period 2020 2019 Change % 2020 2019 Change % Net Profit 458 593 (135) (23) 969
other services of Natural Gas Power Plant by Baht 30.5 million. Net gain (loss) on exchange rate Q3-2019 Q2-2020 Q3-2020 9M-2019 9M-2020 Change THB Mn THB Mn THB Mn %QoQ %YoY THB Mn THB Mn %YoY Net gain
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
-2021 6M-2020 6M-2021 Change THB Mn THB Mn THB Mn %QoQ %YoY THB Mn THB Mn %YoY Net gain (loss) on exchange rate (58.6) 55.1 30.9 (43.9%) N.A. (>100) 53.6 86.0 60.4% Change Net gain (loss) on exchange rate
-2020 Change THB Mn THB Mn THB Mn %QoQ %YoY THB Mn THB Mn %YoY Net gain (loss) on exchange rate (47.6) 112.2 (58.6) N.A. (100) Change Net gain (loss) on exchange rate
the swing in net cash flows from operating activities. The change in net cash flows from investing activities is due to less spending on equipment in 2017 as compared to the same period in 2016. The
operating assets and liabilities of Baht 138 million, mainly resulted from EBITDA and (2) cash inflows from net change in working capital of Baht 65 million, mainly due to lower trade receivables, other
associates) of the Company and its subsidiaries as mentioned above. V. Net Profit (Unit: Million Baht) Third quarter 9-month period 2019 2018 Change % 2019 2018 Change % Net Profit 716 1,322 (606) (46) 2,179