ดังนี้ ลูกหน้ีกำรค้ำ (Trade receivables) ให้แสดงต่อจากรายการที่ 4 (ลูกหนี้ธุรกิจหลักทรัพย์และสัญญาซื้อขายล่วงหน้า) สินค้ำคงเหลือ (Inventories) ให้แสดงต่อจากรายการที่ 7 (เงินให้กู้ยืม) สินทรัพย์ภำษีเงินได้ส
Outstanding of Payables at the end of the period Rental and Other Revuenues Outstanding of receivables at the end of the period 1,184 364 14 1,064 95 16 Other Expenses No.4.2 Trade and Other Payables (Part 1/2
equivalents and Current investments 7,802.2 7,647.7 154.5 Trade and other receivables 1,341.8 1,713.4 (371.6) Reimbursable maintenance expense 701.8 1,050.3 (348.5) Other current assets 912.1 1,018.4 (106.2
Cash and cash equivalents and current investment 7,906.5 7,647.7 258.8 Trade and other receivables 1,279.6 1,713.4 (433.8) Reimbursable maintenance expense 466.4 1,050.3 (583.9) Other current assets
. Unit: million baht As at June 30, 2020 As at December 31, 2019 Variance Current assets Cash & cash equivalents 2,897.3 5,273.1 (2,375.8) Current investment - 4,046.1 (4,046.1) Trade and other receivables
14.55% Trade and other receivables 284.01 10.98% 278.26 10.45% (5.75) (2.02%) Short-term loans to related parties 50.00 1.93% 0.00 0.00% (50.00) (100.00%) Inventories 1,232.68 47.66% 1,349.33 50.66
Baht) December 31, 2022 December 31, 2023 Increase (Decrease) %YoYAmount % Amount % Cash and cash equivalents 122.52 4.74% 99.84 3.78% (22.68) (18.51%) Trade and other receivables 284.01 10.98% 273.09
increase from IPO by temporarily prepaying loan, resulting in decrease in financial cost of the Group. 8 2019 2018 THB Mn THB Mn THB Mn % Cash and cash equivalents 71.9 104.5 (32.6) (31.2) Trade and other
increase from IPO by temporarily prepaying loan, resulting in decrease in financial cost of the Group. 8 2019 2018 THB Mn THB Mn THB Mn % Cash and cash equivalents 71.9 104.5 (32.6) (31.2) Trade and other
71.9 514.5 715.6 Trade and other receivables 838.3 820.0 18.3 2.2 Receivables under finance lease 3,342.4 3,293.3 49.1 1.5 Inventories 390.1 185.2 204.9 110.6 Restricted deposits at financial