Baht Net cash received from operating activities 5,453 Net cash payment for investing activities (10,294) Net cash received from financing activities 1,078 Gain from the effect of foreign exchange rate
Activities 137.4 (1.3) Net Cash from (used in) Investing Activities (96.9) (29.2) Net Cash from (used in) Financing Activities 215.9 (102.0) Increase (Decrease) in Net Cash and Cash Equivalents 256.3 (132.6
payment for investing activities (16,933) Net cash payment for financing activities (4,018) Loss from the effect of foreign exchange rate (1,343) Net decrease in cash (14,186) Net cash received from
financing fee write- off from refinancing in the amount of Baht 9 million in May 2019 and 2) change in accounting method for BGYSP earnings contribution from equity method to consolidation method after
are normally drop in volume during holiday seasons and high SG&A, 2) an improvement on financing cost mainly attributable to debt refinancing, 3) lower interest expense from ABPIF and 4) relatively
) mainly from lower gross profit from residential for sale, higher administrative expenses, financing cost increased from additional interest-bearing debt following the acquisition of GLAND in September 2018
financing from financial institutions for its operation. Information from the Separate Financial Statements of the Company for the Year Ended December 31, 2014, 2015, and 2016; and for the Three-Month Period
margin decreased 5% from Q1/2018, because of the growth rate of natural gas price and the rise in finance cost from interest payment and short-term loan financing fee related to the acquisition of GLOW
15.76 - - A 82.74 - - BBB - - - ข้อมูลเชิงสถิต ิ Maximum Drawdown N/A Recovering Period N/A FX Hedging N/A อัตราส่วนหมุนเวียนการลงทุน N/A สัดส่วนประเภททรัพย์สินที่ลงทุน* Holding % NAV หุ้นกู้เอกชน 98.50
Alpha ยอดคงเหลือขั้นต่ํา : Sharpe Ratio การซ้ือครั้งแรกขั้นต่ํา: Recovering Period บริษัทจัดการจะรับซื้อคืนหนวย การขายคืนหนวยลงทุน IPO FX Hedging อัตราสวนหมุนเวียนการลงทุน 500,000 บาท ตามที่นายทะเบียน