the followings; Net cash received from operating activities Baht 450 million consisting of cash inflow from sales and services, offsetting with cash outflow for expenses and income tax payment Cash
Baht 450 million consisting of cash inflow from sales and services, offsetting with cash outflow for expenses and income tax payment Cash inflow from financing activities Baht 1,875 million mainly
mobile revenue offsetting with growth in broadband. Mobile revenue reported Bt30,334mn, decreasing - 1. 1% YoY, - 4. 5% QoQ mainly from declined prepaid revenue - 6. 9% YoY, - 6. 0% QoQ as price
payment from financial institute; 4. non- current assets were decreased by THB 162 million primarily from the declining of PP&E due to depreciation in year of 2019, offsetting by the increasing of
of cash inflow from sales and services, offsetting with cash outflow for expenses and income tax payment • Cash inflow from financing activities Baht 1,820 million consisted of proceed of short-term
of cash inflow from sales and services, offsetting with cash outflow for expenses and income tax payment Cash inflow from financing activities Baht 1,820 million consisted of proceed of short-term
followings; • Net cash outflow from operating activities THB 345 million consisting of cash inflow from sales and services, offsetting with cash outflow for expenses and income tax payment from the operating
of the proceed of short-term loans from financial institutions Baht 2,238 million offsetting with the repayment of short-term loan of Baht 1,930 million, the proceed of long-term loan of Baht 130
-5.1%YoY from declining mobile revenue offsetting by robust growth in fixed broadband as well as continuing growth in enterprise business. Mobile revenue was Bt118,082mn, decreasing -6.5%YoY as
mobile revenue offsetting with growth in broadband. Mobile revenue reported Bt30,334mn, decreasing - 1. 1% YoY, - 4. 5% QoQ mainly from declined prepaid revenue - 6. 9% YoY, - 6. 0% QoQ as price