payment schedule Others 2,062 0.7% 5,780 2.0% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 284,067 100% 282,765 100% 2018 - 5,299 10,247 4,020 Trade payable 14,686 5.2% 14,116 5.0% 2019 7,789 3,364
MI) 2 (%) 25.6% 22.3% Average collection period7 (days) 80 58 Return on equity3 (%) 11.8% 20.1% Payable days (days) 98 143 Efficiency Ratios Leverage Ratios Return on assets4 (%) 9.8% 16.7% Liability
or 9%, mainly attributable to increasing of higher accounts payable and decreasing of long term loan from financial institution. Shareholder’s equities As of Jun 30, 2018, the company had total
-Term Loans from Related Persons 160.00 0.92 160.00 0.92 - - Trade and Other Payable 1,086.52 6.22 924.02 5.36 162.50 17.59 Current Portion of Advance Received for Rental Income 9.17 0.05 9.17 0.05
payable of Ratchaburi Electricity Generating Company Limited, a subsidiary increased in the amount of Baht 1,010.19 million as Ratchaburi Power Plants generated more electricity in May and June 2018 than
Schedule License payment schedule Others 2,062 0.7% 5,756 2.0% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 284,067 100% 291,392 100% 4Q18 - 10,000 10,247 - Trade payable 14,686 5.2% 15,295 5.2% 2019
million, an increase of THB 66 million or 2% from December 31st, 2017, mainly attributable to the increasing of higher accounts payable but offsetting by a decrease in long term loan from financial
collection period (days) 88.4 100.7 Return on equity (%) 34.8% 12.4% Payable days (days) 97.6 62.2 Efficiency Ratios Leverage Ratios Return on assets (%) 8.7% 7.0% Liability to equity (times) 0.6 0.3 Return on
1,583.12 8.84 1,650.00 9.55 (66.88) (4.05) Short-Term Loans from Related Persons 16.00 0.09 160.00 0.92 (144.00) (90.00) Trade and Other Payable 1,126.30 6.29 924.02 5.36 202.28 21.89 Current Portion of
121.10 5.18% 35.84 1.52% Account payables, trade and others 479.39 20.49% 563.80 23.87% Income tax payable 24.69 1.06% 30.95 1.31% Other current liabilities 4.32 0.18% 10.33 0.43% Total current liabilities