the higher margin products in exhausted pipe following its ongoing improvement and development in production process. 4 (Unit: Baht million) Consolidated balance sheets As at 30th Jun 2017 As at 31st
same cost of production - Cost of selling electricity of 454.19 million baht as 90.05 million baht increased or 24.73 percent when compared to same period of year 2017 as amounting of 364.14 Million Baht
from preventive maintenance income with the needs of customer in food and beverage business who want to maintain the standards and quality of water to use in production process. While the revenue from
3.51 0.15% 2.76 0.12% Property, plant and equipment 544.27 23.20% 412.07 17.45% Intangible assets 0.37 0.02% 0.57 0.02% Deferred tax assets 15.56 0.66% 17.90 0.76% Other non-current assets 11.94 0.51
4,021,007.07 Total current assets 1,004,203.77 13,437,611.40 19,296,993.93 Non-current asset Property, plant and equipment - - 60,014,734.12 Other intangible assets - - 2,765,753.50 Total Non-current assets
in Plant, Property and Equipment (PP&E) of subsidiaries in which the power plants are in construction. Moreover, for the first half of 2018, GPSC and its subsidiaries had received net cash of Baht
transaction It is considered as connected transaction of lease of immovable property of not exceeding 3 years. The transaction amount calculated throughout the term of the agreement is approximately at Baht
to production. Gross Profit Gross profit for the period of nine months ended 30 September 2018 and 2019 were THB 663.98 million and THB 376.95 million respectively or equivalent to gross profit margin
percent. Mainly income came from Preventive Maintenance (PM) from food and beverage business which they would like to maintain the standard and quality of water to production and distribution for food and
was sold. In 2019, there were significant items as follows: The waste management system construction for Refuse Derived Fuel production, no certain budget was allocated, affecting the operating result