indicator for mutual funds in general. Risk Level Low 1 2 3 4 5 6 7 8 High Highly risky Investing primarily in equities at an average of not less than 80% of NAV in an accounting period The mutual fund risk
6. Chart representing the fund’s risk indicator for mutual funds in general. Risk Level Low 1 2 3 4 5 6 7 8 High Highly risky Investing primarily in equities at an average of not less than 80% of NAV
fund’s risk indicator for mutual funds in general. Risk Level Low 1 2 3 4 5 6 7 8 High Highly risky Investing primarily in equities at an average of not less than 80% of NAV in an accounting period The
the financial year FY2020/21, total shareholders’ equities reduced from Baht 2,462.31 million on 31 January 2020 to Baht 2,172.21million on 31 January 2021. Financial Position 31st January 2021 Baht
of goods sold (COGS) as mentioned. Statement of Financial Position Items As at 31st Mar, 2018 As at 31st Dec, 2017 + / (-) Current Assets 2,534.8 3,118.7 (583.9) Noncurrent Assets 3,285.4 2,425.3 860.1
/2017, increased by Baht 21.4 million or 73.0% YoY. page 3/…… - 3 - Financial Position Asset As of 31 March 2018, the company reported total Asset of Baht 2,558.7 million, increased from Baht 2,475.7
to financial institutions. Financial Position Assets As of December 31, 2018, the total assets decreased by 72.40 million baht to 1,737.41 million baht, equivalent to a decrease of 4.00% from 1,809.81
191.3 million compared with Baht 136.4 million in Year 2017, increased in Baht 54.9 million or 40.2% YoY. Financial Position Asset As of 31 December 2018, the company reported total Asset of Baht 2,405.7
- IT system development and internal control improvement of subsidiaries - Loss on change in fair value less cost to sale of biological assets - No gain on sales of deposit for land Financial Position
baht, increasing by 6.79 million bath or 111.54% year-on-year due to borrowing to fund the investment. Financial Position Assets As of 31 December 2017, the total assets decreased by 26.29 million baht