respectively. The main assets held by the company is current asset in which accounted for 64.3% of the total assets and non-current asset accounted for 35.7%. THB MB % THB MB % Current assets 1,026.4 80.1 783.0
163 million. The Company has gain on disposal of assets and revenue from franchise was THB 311 million arise from 55 branches of franchise and asset sale agreements. The franchise agreements are for a
is current asset in which accounted for 55.5% of the total assets and non-current asset accounted for 44.5%. THB MB % THB MB % Current assets 1,026.4 80.1 562.8 55.5 Non-current assets 255.5 19.9 451.9
1,281.9 MB and THB 993.2 MB respectively. As at 30 September 2018 the company is current asset in which accounted for 51.6% of the total assets and non-current asset accounted for 48.4%. THB MB % THB MB
subsidiaries as of March 31, 2020 with the comparison to the financial status as of December 31, 2019 are summarized as below: Assets As of March 31, 2020, the Company and its subsidiaries had a total asset of
Energy Recovery Unit from Thai Oil Public Company Limited and entry into the relevant agreements (Edited) Attention: President Stock Exchange of Thailand Enclosure: Information Memorandum on Asset
shares of N ures of the C ling five loca (Translation of Board of xtraordinary G d he Asset Disp Business Rest Limited (“N cember 2017 sposal of ass mpacts from its strategies as follows: holders meeti
Enclosure Page 1 Information Memorandum on the Asset Disposal, Schedule 1 of Nation Multimedia Group Public Company Limited The Board of Directors’ Meeting of Nation Multimedia Group Public Company
Enclosure Page 1 Information Memorandum on the Asset Disposal, Schedule 1 of Nation Multimedia Group Public Company Limited The Board of Directors’ Meeting of Nation Multimedia Group Public Company
: ______________________________________ 5) Type of ARFP Passport Fund: (more than one answer is possible) Equity Fund Fixed Income Fund Multi-Asset Strategy Fund Money Market Fund Feeder Fund Fund of Funds Exchange-Traded Fund Index Fund