Activities For the three- month period ended March 31, 2020, the Company and its subsidiaries generated cash flows from operating activities of approximately THB 1,048.07 million, increased by THB 743.28
. However, people still have anxiety about the widespread of COVID-19 which affect the decision in going to the hospital, led to a significant decrease in regular patient traffic compared to the same period
company and subsidiary for 2nd quarter of 2020 with a net profit of Baht 15.38 million when compared with the same period of year 2019 with a net profit of Baht 34.66 million due to the following reasons. 1
to explain overall operation for the quarter 2nd of year 2020 with following details. Unit: Million THB Description 3-month period ending 30th Jun 2020 3-month period ending 30th Jun 2019 Differentiate
million, increased 41.4% over the same period last year and increased 21.0% over last quarter due to strong customer demand in cloud storage and data center-related products such as Critical Infrastructure
decrease from the same period last year 78.6 million Baht or 2.9% decreasing with details of income as follows: 1. Revenue from contracts with customers is equal to 229.6 million baht decreasing from the
the first 3 months of 2019 because during the period, ICE had a limitation in finding new customers and the main factor was the spread of COVID – 19, some customers postponed the purchase decision
period of Baht 34.9 million as compared to the 2019 , the company and its subsidiaries have loss for the period of Baht 339.9 million, decreased Baht 305.0 million or 90% for the following main reasons; 1
Limited (“ACS Capital”) Agreement period is 3 months Effective from October 1, 2020 to December 31, 2020. Contractual parties with AEON Thana Sinsap (Thailand) Plc. (“AEONTS”). Company Business Relationship
prescribes that trust managers must be approved by the Office of the Securities and Exchange Commission and in order to determine the consideration period to be in line with Section 5 of the Securities and