Fund - SECOpenData TH Home Fund Mutual Fund Private Fund Provident Fund REIT / INFRA / PROP Page Debenture Equity ESG Data Digital Asset Intermediary & Professional Intermediary & Professional
percent of total shares. As for the period of three months ended 30th June 2017, the company and its subsidiaries recognized share of income, by using equity method, of Baht 0.25 million in consolidated
1,684.60 71.32% 1,616.04 71.15% TOTAL LIABILITIES AND SHAREHOLDERS’ EQUITY 2,362.03 100.00% 2,271.46 100.00% 5 2. Financial Status 2.1 Assets As for the assets value as at 31st March 2018 and 2017, the
201.49 7.98% 214.30 9.07% Total shareholders’ equity 1,715.18 67.91% 1,684.60 71.32% TOTAL LIABILITIES AND SHAREHOLDERS’ EQUITY 2,525.72 100.00% 2,362.03 100.00% 5 2. Financial Status 2.1 Assets As for the
[Super Saving Fund, Retirement Mutual Fund, Long Term Equity Fund] Fund Details ( 1 record(s) found) No. Report Name Data File As of Data Definition 1 Super Saving Fund, Retirement Mutual Fund, Long Term
financial positions million % Total assets 6,142.87 5,948.06 194.81 3.3 Interest-bearing debts 2,559.13 2,433.16 125.97 5.2 Total Liabilities 3,053.16 2,966.06 87.10 2.9 Total sharehoder's equity 3,089.71
% Total assets 6,737.09 5,948.06 789.03 13.3 Interest-bearing debts 3,153.13 2,433.16 719.97 29.6 Total Liabilities 3,600.78 2,966.06 634.72 21.4 Total sharehoder's equity 3,136.31 2,982.00 154.31 5.2
) Total comprehensive loss for the period (63.67) (61.60) (2.07) 3.36 Non-controlling interests (4.30) (3.39) (0.91) 26.68 Equity holders of the Company (59.26) (57.72) (1.54) 2.67 Basic loss per share
comprehensive loss for the period (63.67) (61.60) (2.07) 3.36 Non-controlling interests (4.30) (3.39) (0.91) 26.68 Equity holders of the Company (59.26) (57.72) (1.54) 2.67 Basic loss per share (0.08) (0.08
POSITION 18,652 11,233 7,419 20,329 8,751 11,578 0 5,000 10,000 15,000 20,000 25,000 Total Assets Total Liabilities Total Shareholder Equity 31-Dec-16 30-Jun-17 Million Baht 7 The Consolidated Balance Sheet