gross profit from hotel operations Revenues from hotel operations The details of revenues from hotel operation for the three-month period ended 31 March 2020 are as following. Unit For the three-month
has been ceased operation since last year as a disposal asset held for sale. Liabilities As of Q1-2020, total liabilities on consolidated basis decreased to THB 343.03 million from THB 1,482.63 million
Audit Committee, and approved by the Company’s Board of Directors on August 10, 2020, the Company wishes to report further clarifications in summary as follows: Summary of the company’s operation result
of equipment or the project therefore delaying the operation and delivery of the project. As a result, the revenue recognition in Q1–2020 has also decreased. However, the revenue in Q1–2021 slightly
Group’s net cash from operation was of Bt555.4 million, increasing by Bt4.5 million or 0.8% - Net cash for investment activities was of Bt894. 4 million, increasing by Bt190. 2 million or 27. 0% which Bt831
has full operation during the fourth Quarter of 2019. Gross Profit and Gross Profit Margin For the third Quarter 2020, the Company had gross profit by THB 176.11 Million which was increased by THB 68.03
- time gain. Excluding one-time gain and net profit from operation of TBSP, net profit of Company of THB 231.5 mil reduced by 12.9% y-y regarding to lower Share of Profit of associates contribution. While
operation this year. - Other incomes was Baht 92.62 million, an increase of Baht 26.04 million or 39.1% over the same period of last year, which was mainly due to the increase in interest income, the increase
of equipment or the project therefore delaying the operation and delivery of the project. As a result, the revenue recognition in Q1–2020 has also decreased. However, the revenue in Q1–2021 slightly
due to expenses related to Covid-19 such as Antigen test kits, protection equipment, donation and also expenses of the two new proton showrooms in Malaysia which started the operation in Q4 2020. There