. Return on financial instruments was Baht 11.15 million mainly from dividend income and gain on investment in debt securities, decreasing by Baht 22.53 million due to the Company had gain on sale of general
, gain on foreign exchange, interest income and non-operating revenues. (2) EBIT, EBIT margins, EBITDA, EBITDA margins are not standard measures, nor measurements of financial performance or liquidity
% (Gain)/Loss from sales investment in subsidiary 70.62 52.14 9.36 197.48% Shares of loss in of associates 28.93 9.36 9.36 209.11% Financing Cost 69.37 67.70 67.70 2.47% (773.56) (609.40) (385.37) 42.60
% Selling and Administrative Expenses 88.19 102.45 102.45 -13.92% (300.78) (230.26) (55.46) 127.14% Non-operating income/expense 303.87 249.95 243.49 22.15% (Gain)/Loss from sales investment in subsidiary
Profit 59.13 44.6% 85.50 47.7% 26.37 44.6% SG&A (20.92) (15.8%) (28.47) (15.9%) (7.55) 36.1% EBIT 38.21 28.8% 57.03 31.8% 18.82 49.3% Share of Gain (Loss) in Associates (0.40) (0.3%) 0.43 0.2% 0.83 (207.5
gain (loss) on revaluation of investment (41.91) (12.27%) - 0.00% (41.91) 0.00% Earning before tax 19.51 5.71% 42.67 35.52% (23.16) (54.28%) Income tax expenses (7.52) (2.20%) 1.27 1.06% (8.79) (692.13
163.17 42.9% 202.75 46.0% 39.58 24.3% SG&A 58.51 15.4% 83.78 19.0% 25.27 43.2% EBIT 104.66 27.5% 118.97 27.0% 14.31 13.7% Share of Gain in Associates - - 0.51 0.1% 0.51 - Interest Expenses 0.48 0.1% 0.35
Company had a gain from a bargain purchase on investments in subsidiary of THB 0.48 million and received a gain on disposals investment in associated company of THB 0.50 million. Services expenses In 2022
ไทย 39.9 6.7 0.4 11.2 27.1 36.6 2562 2563 2564 2565 2566 2567 กำรเปิดร้ำน Van Gogh Café by After You ในเดือนมีนำคม ปี 2566 บริษัทฯ ได้เปิดร้ำน “Van Gogh Café by After You” ในงำน Van Gogh Alive Bangkok
บริกำรตนเอง กำรเปดิตวับธูปอ๊ปอัพไอศกรีมซอฟตเ์สริ์ฟ ในช่วงไตรมำสที่ 3 ปี 2566 บริษัทฯ ได้เปิดตัวบูธป๊อปอัพไอศกรีมซอฟต์เสิร์ฟตำมสถำนที่ต่ำงๆ เช่น ในงำน Van Gogh Alive Bangkok บูธ Sretsis Parlour สีลมคอม