Percentage of total capacity 45% 28% 40% 60% 73% 47% Average (2006-2018) 51.92 9.32 39.19 103.71 23.55 169.46 Above/(below) average (2006-2018) 1.05 (3.34) (7.11) (5.75) 5.91 (30.54) 4. SIGNIFICANT EVENTS The
December 31, 2018. The details were summarized below: (Million Baht) Net cash from operating activities 899.48 Net cash from investing activities 2,328.99 Net cash used in financing activities (369.14
important details of cash flow were as follows: 2.1.1 Cash and cash equivalent of Bt1,315.9 million which cash flow summarized for the period of six months of 2019 were below;- - The Group’s net cash from
same period of year 2016 is shown in table 1 below. Table provides an overview of performance. For the three-months ended 30 June Items Increased (Decreased) 2019 2018 Amount Percentage 1 Revenue from
237.05 Million Baht. The overall operating results for the three-months period of year 2019 compare to the same period of year 2016 is shown in table 1 below. Table 1 provides an overview of performance
13,209.82 million, increasing by Baht 3,922.36 million from Baht 9,287.46 million on December 31, 2017. The details were summarized below: (Million Baht) Net cash from operating activities 1,112.70 Net cash
period of the first six months of 2018 were below ;- - The Group’s net cash from operation was of Bt1,017.9 million, increasing by Bt109.3 million or 12.0% - Cash for investment activities was of Bt2,160.2
period of the first six months of 2018 were below ;- - The Group’s net cash from operation was of Bt1,017.9 million, increasing by Bt109.3 million or 12.0% - Cash for investment activities was of Bt2,160.2
104.23 27.33 152.49 Above/(below) average (2006-2017) 18.97 1.31 6.78 10.74 (1.67) 45.91 4. SIGNIFICANT EVENTS As of 12 July 2018, TRIS Rating affirmed the company rating and senior unsecured debenture
BUSINESS Revenue from Sales and Services from Utilities Business was amounted of Baht 443.4 million in 3Q2018, a 9.2% increased from 3Q2017. The details have shown in the table below. (Unit: Million Baht