issued ordinary shares to the private placement investor is appropriated and being an essential part to support the Company’s business plan. 2) Objective regarding the Issuance of Newly Issued Shares to
being an essential part to support the Company’s business plan. 2) Objective regarding the Issuance of Newly Issued Shares to Offer to the investor: Based on the aforementioned of the Company’s business
exercising legal rights to sue against them as well). Besides, receiving compensation will help reduce burden of License fee, adjust financial ratios, and be essential to solving financial problems by reducing
- Translation - Tender Offer for Securities (Form 247-4) Of Glow Energy Public Company Limited By Global Power Synergy Public Company Limited (The Tender Offeror) The Siam Commercial Bank Public Company Limited And Phatra Securities Public Company Limited (Tender Offer Preparers) Phatra Securities Public Company Limited (Tender Offer Agent) “This English language translation of the Tender Offer has been prepared solely for the convenience of the foreign shareholders of Glow Energy Public Company...
และเหรียญกษาปณ์ท่ีบริษทัมีอยู ่ เงินฝากธนาคารทุกประเภท บตัรเงินฝาก (Negotiable Certificate of Deposit : NCD) ท่ีออกโดย ธนาคารพาณิชยห์รือสถาบนัการเงินอ่ืน และรวมถึงตราสารสั่งจ่ายใด ๆ ท่ีน าฝากธนาคารเพื่อ
, 2016 Assets Cash and cash equivalents 198,674.01 Other current assets 36,995.84 Total current assets 235,669.85 Deposit 35,244,000.00 Total non-current assets 35,244,000.00 Total assets 35,479,669.85 บมจ
assets 353,256 94% 295,270.00 92% 383,123.00 85% 341,758.00 84% Restricted deposit 400 0% 400 0% - - Property, plant and equipment 1,206 0% 1,121 0% 13,475 3% 13,819 3% Intangible assets 4,202 1% 12,617 4
% 341,758.00 84% Restricted deposit 400 0% 400 0% - - Property, plant and equipment 1,206 0% 1,121 0% 13,475 3% 13,819 3% Intangible assets 4,202 1% 12,617 4% 49,241 11% 45,619 12% Deferred tax assets 15,430 4
: MYR Million) 2015/16 2016/17 2017/18 Asset Cash and deposit at Financial institutions 0.00 0.00 0.01 Receivables 4.90 4.90 15.01 Total current assets 4.90 4.90 15.01 Other non-current assets 17.07 17.58
than the original liquidity management invested in bank deposits or short-term funds that the company has invested. In the past, the Company has invested in bank deposit with return rate of approximately