save both direct and indirect costs. Thus, the Company can focus and increase the proportion of production and distribution of Gravure sack packaging. In which the customer group is at the top level It
from water treatment and distribution increased from the quarter 01/2019 by Baht 10.31 million. The major increasing came from operating a water treatment contract with Patong Municipality, Phuket
services revenue. Furthermore, the Company and subsidiaries has distribution costs and administration expenses in the amount of THB 401 million, which decreased by THB 325 million from the second quarter of
resulting from increased revenue from warehouse services such as customers in the automotive parts segment Which these customers will use a full range of services, including customs clearance services And
purchase of warehouse and machinery of the company and local subsidiaries. net cash flows generated from financing activities of THB 633.52 million. The Company and its subsidiaries had cash and cash
was cash payments for purchase of property, plant and equipment of THB 145.34 million for plant construction and purchase of machinery of foreign subsidiaries and purchase of warehouse and machinery of
baht and 357.41 million baht respectively, when compared to the previous year by 3.64 million baht, representing a hundred 1.02% arising from warehouse services with a group of customers whose contracts
where the warehouse floor at the Rama 2 branch collapsed in 2017. 2. Gross profit was Baht 1,550.56 million equivalent to a gross profit margin of 16.4%, an increase from the gross profit margin of 14.8
to inventory in the warehouse and material requirements for processing project in the electrical engineering business. • Cash and cash equivalent decreased Baht (34.38) million. June 30 December 31
baht or 3.63 % due to the increase in warehouse projects in This year 4. Revenue from Cross Border Service for the three-month periods ended March 31, 2020 and March 31, 2019 was 127.55 million baht and