1,175,755 135,936 11.6 Directors’ remuneration 12,075 5,220 6,855 131.3 Premises and equipment expenses 250,255 232,781 17,474 7.5 Taxes and duties 93,534 119,513 (25,979) (21.7) Loss from revaluation of
machinery, equipment and related expenses to increase the production capacity of the flexible packaging products another Baht 40 million. This is to increase the proportion of high gross margin products. In
PUBLIC COMPANY LIMITED SAHACOGEN (CHONBURI) PUBLIC COMPANY LIMITED SAHAKOL EQUIPMENT PUBLIC COMPANY LIMITED SAHAMIT MACHINERY PUBLIC COMPANY LIMITED SAHAMITR PRESSURE CONTAINER PUBLIC COMPANY LIMITED
PUBLIC COMPANY LIMITED SAHACOGEN (CHONBURI) PUBLIC COMPANY LIMITED SAHAKOL EQUIPMENT PUBLIC COMPANY LIMITED SAHAMIT MACHINERY PUBLIC COMPANY LIMITED SAHAMITR PRESSURE CONTAINER PUBLIC COMPANY LIMITED
PUBLIC COMPANY LIMITED SAHACOGEN (CHONBURI) PUBLIC COMPANY LIMITED SAHAKOL EQUIPMENT PUBLIC COMPANY LIMITED SAHAMIT MACHINERY PUBLIC COMPANY LIMITED SAHAMITR PRESSURE CONTAINER PUBLIC COMPANY LIMITED
PUBLIC COMPANY LIMITED SAHACOGEN (CHONBURI) PUBLIC COMPANY LIMITED SAHAKOL EQUIPMENT PUBLIC COMPANY LIMITED SAHAMIT MACHINERY PUBLIC COMPANY LIMITED SAHAMITR PRESSURE CONTAINER PUBLIC COMPANY LIMITED
PUBLIC COMPANY LIMITED SAHACOGEN (CHONBURI) PUBLIC COMPANY LIMITED SAHAKOL EQUIPMENT PUBLIC COMPANY LIMITED SAHAMIT MACHINERY PUBLIC COMPANY LIMITED SAHAMITR PRESSURE CONTAINER PUBLIC COMPANY LIMITED
PUBLIC COMPANY LIMITED SAHACOGEN (CHONBURI) PUBLIC COMPANY LIMITED SAHAKOL EQUIPMENT PUBLIC COMPANY LIMITED SAHAMIT MACHINERY PUBLIC COMPANY LIMITED SAHAMITR PRESSURE CONTAINER PUBLIC COMPANY LIMITED
Quarter 2019 was Baht 72.35 million, due to cash payment for the purchase of fiber cement machinery (NT-11) of Baht 81.54 million, cash payment for tools and equipment replacement after their useful life of
net cash used in investing activities in the 3rd Quarter 2019 was Baht 149.98 million, due to cash payment for the purchase of fiber cement machinery (NT-11) of Baht 102.07 million, cash payment for