THB 28 million The Company and its subsidiaries have the net cash used in investing activities in the amount of THB 306 million as a result of and cash paid for purchasing fixed assets, intangible
Baht 5 5 .4 0 million or 383.31% that consisted of the current liabilities at Baht 37.37 million reducing by Baht 118.76 million from the หนา้ 4 จาก 4 previous year end, and the fixed liabilities at Baht
Baht 30.17 million, due to fixed deposit and, in this period, the Company purchased investment units Baht 5 million. As at end of period, the mentioned investment units got loss Baht 0.20 million and it
other current liabilities Fixed deposit with obligation Trade and other current payables Trade and other current receivables L/T Debt (included current portion of L/T debt) Inventories Total other non
was THB 0.60 million as high proportion of the costs was employee-related costs which are fixed costs. Consequently, in 9 M2021, the Company had services income from providing online advertising for
documents in full according to the procedures specified in Clause 13 of the Licensing Manual. Remarks: ** If the application or evidentiary documentation is incorrect or incomplete and cannot be fixed or
of NRI CIS: (more than one answer is possible) Equity Fund Fixed Income Fund Multi-Asset Strategy Fund Money Market Fund Feeder Fund Fund of Funds Exchange-Traded Fund Index Fund Capital-Guaranteed
Unit trust Any other structure acceptable to participating jurisdictions 5) Type of NRI CIS: (more than one answer is possible) Equity Fund Fixed Income Fund Multi-Asset Strategy Fund Money Market Fund
which were fixed costs. Other income In 2022, other income was THB 2.90 million, increase by THB 2.21 million or + 320.40% YoY, mainly due to the increase in interest income. In addition, in 2022, the
บริษัทจัดการได้มีการจัดตั้งกองทุนรวมตราสารหนี้ที่เปิดให้ผู้ลงทุนสามารถซื้อขายหน่วยลงทุนได้ทุกวันทำการ (daily Fixed Income Fund: “กอง daily FI”) โดยส่วนใหญ่กำหนดระยะเวลาชำระค่าขายคืนหน่วยลงทุน