was due to the fact that the Company repaid some loans to the financial institutions as well as financial leases for the total of 16.32 million baht. Hence, the debt to equity ratio stood at 0.13 times
ลดลง สว่นของผู้ ถือหุ้นเพิ่มขึน้ 19.55 ล้านบาท จาก ก าไรสะสมท่ียงัไม่ได้จดัสรรเพิ่มขึน้ ณ 30 มิถนุายน 2561 บริษทัฯมีอตัราสว่นสภาพคลอ่ง (Current ratio) เทา่กบั 7.76:1 และอตัราสว่น หนีส้นิตอ่สว่นผู้
the Company’s book value per share at 17.67 and debt to equity ratio (D/E ratio) at 0.37 times. Cash Flow As at June 30, 2018, the Company had cash received from the operating activities around 507.14
decrease of 263%. The Company's total assets were recorded at THB 49,796 million, with total liabilities of THB 31,247 million and total shareholders' equity of THB 18,549 million. Debt to Equity Ratio (D/E
financial lease amounting to 3.32 million baht. Consequently, interest bearing debt dell to 116.20 million and the debt to equity ratio stood at 0.12 times and current ratio of 2.56 times. - The shareholders
งการเงนิ ณ 30 กนัยายน 2561 บริษทัฯมีอตัราส่วนสภาพคล่อง (Current ratio) เท่ากบั 10.90:1 และอตัราส่วน หน้ีสินต่อส่วนผูถื้อหุน้ (Debt to Equity Ratio) เท่ากบั 0.08:1 เท่า ซ่ึงเม่ือเทียบกบังวดเดียวกนัของปีก่อน
of treasury stock, and Bt439.17mn of net profit in 2018. 5 Forth Smart Service Public Company Limited (FSMART) 3Q18 Management Discussion and Analysis Key Financial Ratio Quarter Quarter Quarter 3/2017
debt to equity ratio (D/E ratio) at 0.41 times. Cash Flow As at September 30, 2018, the Company had cash received from the operating activities around 748.17 million baht, rose by 111.56 million baht
million and total shareholders' equity of THB 18,639 million. Debt to Equity Ratio (D/E) and Interest Bearing Debt to Equity Ratio represented at 1.44 and 1.26, respectively. Yours faithfully, Mr.Chamroon
49.34 17.69% Finance cost 49.11 68.10 18.99 38.67% Income tax expenses 48.04 57.52 9.48 19.73% Net profit 181.71 202.58 20.87 11.49% Net profit ratio (ROS) 17.16% 15.74% Earnings per share (Baht) 0.34