, the net profit was Baht 43.31 million, decreased by 3.41 million or decreasing by 7.3 percents in which performance for the company and its subsidiaries in the current three-month period compared to the
period (during the low electricity tariffs) and the average capacity utilization was only 37.25%, thus, the current estimated useful lives under straight-line depreciation method caused the Company to
Financial Position (Unit: Million Baht) Details 30 Sep 2019 31 Dec 2018 Increased (Decreased) % Assets Current assets Cash and cash equivalents 1.71 35.22 (33.51) (95.14) Trade and other receivables 269.21
(149.9) (13.3) Other current assets 252.7 203.1 49.6 24.4 Property, plant and equipment 219.1 96.2 122.9 127.8 Equipment for lease 308.7 358.5 (49.8) (13.9) Biological assets 9.9 0.0 9.9 100.0 Other non
ประกอบกิจกำรค้ำขำยในกำรเดินอำกำศ (Air Operating License หรือ AOL) จำก ส ำนกังำนกำรบินพลเรือนแหง่ประเทศไทย โดยใบอนญุำตมีอำย ุ10 ปี และจะสิน้สดุในปี 2572 (เดือนกมุภำพนัธ์ 2562) 5. ในปี 2561 คณะกรรมกำรของบริ
LIMITED EXCEL AIR LIMITED EXCEL AIR PTE., LTD. EXCEL GSA (M) SDN. BHD. FREIGHTWORKS GSA PTE., LTD. GHC CAFE (UK) COMPANY LIMITED GO-PAK PAPER PRODUCTS VIETNAM COMPANY LIMITED GO-PAK UK LIMITED GO-PAK
acquisition of Carnival Magic Project, the Company and its subsidiary will not change its shareholding structure or Board of Directors. SAFARI Group will continue to be operated by the current Board of
Discussion and Analysis as follows : FINANCIAL SUMMARY 31.12.16 31.12.17 31.03.18 FINANCIAL POSITION (MILLION BAHT) Current Assets 1,228 1,119 1,202 Total Assets 1,361 1,242 1,322 Current Liabilities 914 784
, which increased from the same period of the previous year by THB 108 million from noncurrent assets THB 139 million, while the current assets were slightly decreased THB 31 million, which were mainly
% 12.9 33.1% Property development costs 243.9 9.8% 242.9 9.7% -1.0 -0.4% Other current asset 23.4 0.9% 28.9 1.2% 5.5 23.5% Management Discussion and Analysis Q1/2018 Page 3/4 JAS Asset Public Company