exports to China fell from the severe cold weather. Export CMG sales decreased by c.35% as the Company has implemented new preventive measures since Q2/2017 to control the quality of coconut water
ปัจจัยหลกัมาจาก -ไถ่ถอนเงินลงทนุชัว่คราว 70.8 ล้านบาท -หลกัทรัพย์เผ่ือขายลดลง 19.9 ล้านบาท -ซือ้ทรัพย์สนิระหวา่งงวด -10.6 ล้านบาท Operating Activities, , - -163.9 - 42.0 Investing Activities, , 79.7 20.2
in amount of 18.8 MB due to the Dividend payment from the Company’s profit 45.6 MB and little increase of profit from operation 64.4 MB of this year. Cash Flow Based on the results for Q2/2019, the
38.36 37.61 0.67% -1.96% 37.96 37.99 0.08% - THB/USD 34.08 31.33 31.73 -6.90% 1.28% 34.49 31.53 -8.58% Sales volume (Ton) Average FX -3- volume and promotional activities. Selling expenses in 2Q18 also
57.0 MB, the profit from operation by 63.7 MB, and the increase in other components of equity by 1.0 MB. Cash Flow Based on the results for Q2/2020, the company’s cash flow was as follows: - Net cash
organizing activities involving large gatherings of people which may pose the risk of spreading the disease. In addition, the Bangkok Metropolitan Administration has issued an announcement dated March 21, 2020
Bangkok Expressway and Metro Public Company Limited in the first half of 2020. Furthermore, CK Power Public company registered loss due to less water inflow into their hydropower projects,. Financing For
Based on the results for Q1/2020, the company’s cash flow was as follows: - Net cash flow from operating activities was 56.5 MB, increased by 9.7 MB when compare with Q1/2019, the effective due to the
) (218.1) N.A.(
expenses (34.35) (36.96) (2.60) 7.58% Other expenses (2.74) (5.15) (2.40) 87.50% Profit from operating activities 53.11 36.14 (16.96) -31.94% Share of profit of investment in associates 0.71 (1.07) (1.78