. Total revenue for the three-month period decreased by Baht 205 million as compared to the same period last year due largely to the following: The overall revenue from hotel operations which comprise of
) (42.5%) Revenue from real estate rental and service related segment 2.69 6.05 (3.36) (55.5%) Total 3.95 8.24 (4.29) (52.1%) E-Commerce segment Revenue from e-commerce segment in relation to e-Payment
Company’s business in Quarter 3 is traditionally softer compared to Quarter 1 and 4 due to low tourist arrivals in Phuket during this time of the year. Total revenue for the three-month period increased by
benefits. Total shareholders’ equity was reported at THB 849.1 million, decreased by THB 2.6 million or 0.3% when compared to the end of the prior year. The liquidity ratio (current assets to current
Increased / (Decreased) Million Baht % Million Baht % Million Baht % Current Assets 2,091.92 53.62% 1,837.49 54.88% 254.43 13.85% Non-Current Assets 1,809.63 46.38% 1,510.83 45.12% 298.80 19.78% Total Assets
% -41.67 -2.49% Non-Current Liabilities 620.93 17.68% 430.61 12.86% 190.33 44.20% Total Liabilities 2,255.29 64.21% 2,106.63 62.92% 148.66 7.06% Shareholder’s Equity 1,256.95 35.79% 1,241.68 37.08% 15.27
Asset 2.14 0.5% 3.01 1.4% 0.87 40.7% Non-Current asset 587.39 47.9% 635.36 49.3% 47.97 8.2% Total Asset 1,225.98 100.0% 1,276.51 100.0% 50.53 4.1% Liability Current liability 77.35 6.3% 85.75 7.6% 8.40
the adoption of IFRS 16. Total Liabilities As of 31 Mar 2020, the total liabilities of the Company were THB 719 million, increased by THB 557 million or 344% from 31 December 2019. • Current liabilities
beverages 100.94 102.93 (1.99) (1.9) Other revenue from operations 72.51 70.82 1.69 2.4 Total revenues 453.57 446.69 6.88 1.5 (million) 2018 2017 increase (decrease) 2 Other income Other income for the second
relation to the Investment (“Investment Agreements”) with BCB and the relevant parties and, at the current stage, has acquired 20% of the total shares in BCB. Pursuant to the Investment Agreements, the