1 หนา้ 1 - เพ่ิมเติม แยกประเภทลูกหน้ีบญัชีเงินสด เป็น 2 ประเภท คือ cash account และ cash balance ค ำอธิบำย : ส่วนท่ี 1 หนา้ 4 - ปรับปรุง โดยแยกลูกหน้ีออกเป็น 2 ประเภทคือ บญัชี cash account และบญัชี
THB 1,097.42 million in 2019 and YE 2018 respectively. The main assets consists of cash and cash equivalent, short-term investment, land, buildings and equipment. Cash and cash equivalent As at 31 March
Net operating debt to equity at 0.61 times with strong operating cash flow. Dividend payout remain much higher than its stated policy of 30% of net profits. Perpetual debenture of THB 15b refinanced at
ประเภท คือ cash account และ cash balance คำอธิบาย : ส่วนที่ 1 หน้า 4 · ปรับปรุง โดยแยกลูกหนี้ออกเป็น 2 ประเภทคือ บัญชี cash account และบัญชี cash balance และให้คิดค่าความเสี่ยงของบัญชี cash account เป็น
of June 30, 2020, the Company and its subsidiaries had total assets of Baht 81,302.80 million. A decline of Baht 1,282.79 million from the end of prior year was mainly due to decreased cash and current
5,123.27 5,988.44 6,041.98 EPS (B.) 7.46 6.05 7.07 7.14 Statement of Cash Flow (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19 -31/12/19) 2018 (01/01/18 -31/12/18
of Baht 21,643 million, increased by Baht 7,406 million or 52.0% from the total assets as of 31 December 2019. • Current Assets were decreased by Baht 881 million as a result of a decrease in Cash and
Million or 2 percent. Total shareholders’equity amounted to Baht 31,950 Million, representing an increase by Baht 771 Million or 2. 5 percent when compared to the end of the year 2017. Cash Flows For the
cash and cash equivalents remaining from the proceeds of initial public offering after deducting the repayment of loans from commercial banks., (2) an increase of property plants and equipment which was
& ANALYSIS 1Q 2017/18 2 AUG 2017 FINANCIAL POSITION ASSETS ASSETS BREAKDOWN 31 MARCH 2017 30 JUNE 2017 (Restated) (THB mn) % out of total (THB mn) % out of total Cash & cash equivalents and short-term