to generate solid operating cash flow (after tax) of Bt20,764mn, while total investing cash flow was Bt14,110mn for network investment and payment for spectrum license including 700MHz and 26GHz
reported Bt78,670mn increasing 3.9% from higher retained earnings. Cash flow For 1H21, AIS generated operating cash flow (after tax) of Bt41,269mn, decreasing 2.5% YoY. For investing activities, Cash CAPEX
Office]: (1) a mutual fund management company [according to the Securities and Exchange Act B.E. 2535 (1992)] having been operating such business; or (2) a company incorporated under Thai law besides the
Shareholder Ordinary Shareholder (UNOFFICIAL TRANSLATION) Factsheet Information as of [day/month/year] 3 Summary of the Financial Position and Operating Results in the Consolidated Financial Statements for the
not receiving a fee or any reward, either directly or indirectly, related to giving advice unless such fee or reward is received from operating a business of website or electronic media that is not
or any reward, either directly or indirectly, related to giving advice unless such fee or reward is received from operating a business of website or electronic media that is not related or does not
or any reward, either directly or indirectly, related to giving advice unless such fee or reward is received from operating a business of website or electronic media that is not related or does not
February 2021 The SEC has informed digital asset investment consultants and digital asset fund managers who have been operating such businesses since before 27 November 2020 and would like to continue such
deadline on 24 February 2021 The SEC has informed digital asset investment consultants and digital asset fund managers who have been operating such businesses since before 27 November 2020 and would like to
companies to exercise care and caution before investing in digital assets such investment. This is to prevent material impacts on the companies’ financial position or operating results as digital asset