designated at fair value through profit or loss, net 62,709 0 62,709 n.a. Gain (loss) on investments, net 389,893 177,943 211,950 119.1 Dividend income and profit sharing 967,561 673,584 293,977 43.6 Other
(180,426) (39.5) Gain on financial liabilities designated at fair value through profit or loss, net 285,937 62,709 223,228 356.0 Gain on investments, net 568,068 389,893 178,175 45.7 Dividend income and
1,403.61 million). In this case, even though the disposal of assets by means of a bidding process is considered a fair process and does not benefit the connected person of the Company, for the transparency
The selling price of the shares in the value of Baht 2,065 Million is in the range of fair value as appraised by the financial advisor based on the Discounted Cash Flow Approach, as the appraisal of
record recognition of the profit promptly. 6.3 The selling price of the shares in the value of Baht 2,065 Million is in the range of fair value as appraised by the financial advisor based on the Discounted
) also invests in other assets, the appraisal shall comply with the following rules: (a) the fair value of the investment shall comply with the rule related to the determination of the fair value of an
financial liabilities designated at fair value through profit or loss, net (36,349) 73,883 (110,232) (149.2) Gain (loss) on investments, net 498,805 45,324 453,481 1,000.5 Dividend income and profit sharing
transactions, net 115,364 87,750 27,614 31.5 Gain (loss) on financial liabilities designated at fair value through profit or loss, net (36,349) 73,883 (110,232) (149.2) Gain (loss) on investments, net 498,805
designated at fair value through profit or loss, net 73,883 0 73,883 n.a. Gain (Loss) on investments, net 45,324 51,277 (5,953) (11.6) Dividend income and profit sharing 315,019 207,619 107,400 51.7 Other
930,811 132,195 14.2 Gain (Loss) on trading and foreign exchange transactions, net 87,750 (21,274) 109,024 512.5 Gain on financial liabilities designated at fair value through profit or loss, net 73,883 0