% (68.5) (529.4) 672.8% Gross profit 420.1 427.9 446.0 4.2% 6.2% 774.6 873.9 12.8% Net gain (loss) on exchange rate (47.6) 112.2 (58.6) N.A. (100) Other income 11.0 173.0
million or 18.59% decrease from the same period of the previous year (Quarter 2 of 2019: THB 2.41 million) following gradual repayment of loans. Net profit In Quarter 2 of 2020, SAAM Group’s net profit
business, and also increasing the Company’s capability and competitive advantages which influencing the Company’s operation to be profit in the future. Financial Performance for the period ended June 30
Increase/(Decrease) Baht million Baht million Baht million % Revenue from Sales and Services 1,467.5 1,633.8 166.2 11.3 - Operating Revenue1 1,317.2 1,570.2 253.0 19.2 - Other Income from Utilities Business2
1,664.5 1,899.4 1,148.8 (234.9) (12.4) 515.8 44.9 Profit for the period 121.3 146.9 59.7 (25.6) (14.4) 61.6 103.2 Overall of the Thai economy in the middle of the Q1–2021 gradually improved after the mild
1,664.5 1,899.4 1,148.8 (234.9) (12.4) 515.8 44.9 Profit for the period 121.3 146.9 59.7 (25.6) (14.4) 61.6 103.2 Overall of the Thai economy in the middle of the Q1–2021 gradually improved after the mild
Public Co., Ltd. (EPCO) for Q1/2019 is Baht 46.78 million in comparison with net profit of Baht 149.49 million for the same period previous year, a decrease of Baht 102.70 million or 68.70%. Such amount
rehabilitation plan of Gateway Estate Co., Ltd. to MDX for THB 20.11 million. ▪ A decreasing participating profit from investment in associated companies and the joint venture in 2019, compared with those in the
2019 as follows: The company has total revenue of THB 5.77 million for the second quarter 2019, increase by THB 1.81 million when compared to the second quarter 2018, by decrease from Non-performing debt
September 30, 2018, the Company had operating profit of the equity holders of THB 7.48 million, a decrease of THB 23.55 million or 75.89 per cent, compared to the same quarter in 2017. The main reason is as