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Carnival Magic Project and loan approved for machinery and equipment purchase of THB 40 million, grand total of THB 920 million 12 3) Issuance of debt instruments by group companies and/or other persons
Project and loan approved for machinery and equipment purchase of THB 40 million, grand total of THB 920 million 3) Issuance of debt instruments by group companies and/or other persons including current
COMPANY LI... SAHA-UNION PUBLIC COMPANY LIMITED SAHAKOL EQUIPMENT PUBLIC COMPANY LIMIT... SAHAMIT MACHINERY PUBLIC COMPANY LIMIT... SAHAMITR PRESSURE CONTAINER PUBLIC COM... SAHATHAI TERMINAL PUBLIC COMPANY
5,576,858 5,573,375 3,483 0.1 Directors’ remuneration 47,311 46,688 623 1.3 Premises and equipment expenses 1,300,008 1,163,974 136,034 11.7 Taxes and duties 427,193 392,544 34,649 8.8 Loss from revaluation
decrease in premises and equipment expenses. Cost-to-income ratio excluding loss from sale and revaluations of foreclosed assets stood at 38.4% improving from 40.2% during 1Q20. Unit: Baht million 1Q21 4Q20
and equipment expenses 254,794 255,488 (694) (0.3) Taxes and duties 70,087 65,525 4,562 7.0 Loss from revaluation of foreclosed assets (reversal) 162,910 (53,527) 216,437 (404.4) Loss (Gain) from sale
and equipment expenses 254,794 255,488 (694) (0.3) Taxes and duties 70,087 65,525 4,562 7.0 Loss from revaluation of foreclosed assets (reversal) 162,910 (53,527) 216,437 (404.4) Loss (Gain) from sale
1,175,755 135,936 11.6 Directors’ remuneration 12,075 5,220 6,855 131.3 Premises and equipment expenses 250,255 232,781 17,474 7.5 Taxes and duties 93,534 119,513 (25,979) (21.7) Loss from revaluation of
1,175,755 135,936 11.6 Directors’ remuneration 12,075 5,220 6,855 131.3 Premises and equipment expenses 250,255 232,781 17,474 7.5 Taxes and duties 93,534 119,513 (25,979) (21.7) Loss from revaluation of