calculated, the net asset value as of the last day of each month shall be averaged out instead. Clause 13 A derivatives selling agent licensee shall pay a fee at the rate of 10 satang per contract, calculated
calculated, the net asset value as of the last day of each month shall be averaged out instead. Clause 13 A derivatives selling agent licensee shall pay a fee at the rate of 10 satang per contract, calculated
long-outstanding receivables has recorded in accordance with the Financial Reporting Standard No. 9 Financial Instruments (TFRS 9) and also the employee-related expenses have increased. -3- Financial
on derivatives trading. Clause 2 A derivatives broker shall provide a written contract or an agreement on custody of assets of clients which indicates the right, duty, and responsibility of both
derivatives trading. Clause 2 A derivatives broker shall provide a written contract or an agreement on custody of assets of clients which indicates the right, duty, and responsibility of both parties and
derivatives trading. Clause 2 A derivatives broker shall provide a written contract or an agreement on custody of assets of clients which indicates the right, duty, and responsibility of both parties and
to obtain a customer contract shall be recorded as an asset and amortized to expenses on a basis that is consistent with the pattern of revenue recognition. Under the previous accounting policy, the
เพิม่ขึน้จากก าไรจากอัตราแลกเปลีย่นจากผลของคา่เงนิบาททีแ่ข็งคา่ขึน้ โดย บรษัิทฯมีนโยบายบรหิารความเสีย่งในเรื่องอัตราแลกเปลี่ยน โดยการท าสัญญาซื้อขายอัตราแลกเปลี่ยนล่วงหนา้ (Forward contract) บรษัิทฯสามารถบร
) (23.35) Short-term borrowing from related party 1.00 - 1.00 n.a. Short-term borrowing from third party 5.00 - 5.00 n.a. Other current liabilities 16.20 22.16 (5.96) (26.88) Total current liabilities 678.19
installations made according to the financial lease contract and no additional contract. Non-current provisions for employee benefits at Baht 5.32 million, increased by Baht 0.88 million or equivalent to 19.84