%) by compared with the net profit at 170.42 million baht same period at last year. The changing over than 20% from the main causes as follows: Summary of important financial information amount percent
Microsoft Word - MDA Q120 EN_Hiight.docx May 11, 2020 To President The Stock Exchange of Thailand Subject Management Discussion and Analysis for the three-month period ended March 31, 2020 Taokaenoi
subsidiaries had total revenue of 309.59 million Baht, increased by 128.60 million Baht, or an increase of 71.06%, compared with the same period of previous year. The Company and its subsidiaries had a net
Metropolis building in January 2020 with a plan to dispose the asset to SPRIME in a due period. Even though, 27% declined in 1Q2020 total revenue compared with 1Q2019 mainly attributed to negative impact from
Company”) would like to summarize its Q2/2020 operating performance for the period ending 30 June 2020 as follows: For the three-month, the Company and its subsidiaries’ posted a net profit of Baht 59.30
month period in 2020 Baht 12.59 million Cash Flow Statement Cash Flow Statement for the six months period ended 30 June 2020, the company has cash and cash equivalent transaction net increased from 31
(“the Company”) allowed the Company’s foreign buyers to postpone processing their ownership transfer period to be within the end of this year with an inspection process done by the buyers, buyer’s
31 January 2021: 1. Sales Revenue for the financial year ended 31 January 2021 (“FY2020/21”) For the period from 1 February 2020 to 31 January 2021 (FY2020/21), INGRS registered sales revenue of Baht
period. Cost of construction services and sales of construction materials The Company and its subsidiaries registered cost of construction services and sales of construction materials amounting to Baht
) 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