expenses (22.5) (12.1) (10.4) (46.2%) Net profit 322.4 274.9 (47.5) (14.7%) Loss attributable to non-controlling interests (0.3) (0.1) (0.2) (66.7%) Net profit attributable to the parent 322.7 275.0 (47.7
subsidiaries (“the Group”) as follow: * Extraordinary items from non-operating, consists of unrealized gain (loss) on exchange rate of receivable under finance lease and gain (loss) on forward contracts
derived from the overall operating results. Financial Position The group’s assets decreased by Baht (154.09) million, mainly due to the following reasons: • Restricted cash decreased Baht (47.46) million
is the main customer of the company resulted in non-achievable to the sale target. Other incomes for 2019 are 2.86 million baht with no significantly transaction changes. 2. Cost of sales , Profit
) (25.53%) Total current assets 575.13 710.72 (135.59) (19.08%) Non-current assets Pledged and restricted bank deposits 88.15 67.36 20.79 30.86% Investment properties 97.79 4.52 93.27 2063.50% Property
, THAILAND. 10160 Tel: 02-455-2888 Fax: 02-455-2763 Non-current assets Pledged and restricted bank deposits 58.10 67.36 (9.26) (13.75%) Investment properties 99.26 4.52 94.74 2096.02% Property, plant and
5.05 (0.40) 5.45 1347.98% Non-controlling interests (0.49) (0.80) 0.31 38.43% 1. LPG sales income decreased because of the decreased in LPG usage in transportation sector, result in volume sold decreased
discharged the executive or personnel responsible for the cause of prohibited characteristics of the applicant. 4.7 Having not been prohibited, suspended or restricted to undertake business by the Capital
41.98 million due to withholding tax of investment in machine of the Company’s subsidiaries was on processing for tax refund which was Baht 44.42 million. 4. Restricted bank deposits decreased by Baht
) (40.03%) Restricted cash 0.39 0.29 (0.10) (25.48%) Deferred tax asset 0.78 0.88 0.10 12.37% Other non-current assets 0.14 0.44 0.30 208.98% Total non-current assets 11.87 9.49 (2.38) (20.06%) Total assets