(%) Income from sale and installation of the pipeline 255.35 260.76 (2.07) Income from water business 47.53 72.10 (34.08) Other income 25.90 4.19 518.14 Total revenues 328.78 337.05 (2.45) Cost from sale and
% 17.14 4.33% (4.94) (28.82%) Total Revenue 274.94 100.00% 395.42 100.00% (120.48) (30.47%) Cost of sales (131.85) (47.96%) (195.11) (49.34%) (63.26) (32.42%) Cost of construction service (31.55) (11.48
31 March 2020, the company has total asset of Baht 1,527.61 million increased from last year by Baht 7.65 million, total liabilities in Baht 481.30 million increased from last year by Baht 14.19
| P a g e Statement of Financial Position Statement of Financial Position as at 30 June 2020, the company has total asset of Baht 1,505.93 million decreased from last year by Baht 14.12 million, total
(12.2) - 1.6 (1.6) Total 9.7 80.2 (70.5) 14.3 49.2 (34.9) (4.6) 31.0 (36.4) Segment Revenue Cost Gross Profit For six-month period ended 30 June For six-month period ended 30 June For six-month period
) Objective Working Capital for development of projects. 3 3. Total Value and Valuation criteria of the transaction. The Connected Transaction that occurred during the period of 6 months that the company renew
) Objective Working Capital for development of projects. 3 3. Total Value and Valuation criteria of the transaction. The Connected Transaction that occurred during the period of 6 months that the company renew
increase in employee costs, inventories costs, and repair and maintenance expenses. Statement of financial position As of December 31, 2019 and March 31, 2020, the Company’s total assets amounted to Baht
(4.28) (2.73) - Electricity business 191.02 146.13 44.89 47.12 Other income 83.86 7.91 75.95 1,003.17 Total revenues 427.44 310.89 116.55 37.49 Cost of sales and services 204.38 195.36 9.01 4.61
% Millions of THB % Millions of THB % Revenue from sale of real estate 679.80 84.01% 1,003.47 91.27% (323.67) (32.26%) Revenue from construction service 98.87 12.22% 59.91 5.45% 38.96 65.03% Total Revenue