Assets 229.91 218.14 213.92 184.47 PP&E Net 153.12 205.32 243.98 317.61 Non-Current Assets 245.82 326.45 345.46 426.42 Total Assets 475.73 544.60 559.39 610.90 OD - - - - A/P Net 250.26 301.37 287.91
8,187.07 7,567.26 6,140.86 Non-Current Assets 8,579.92 8,787.25 8,203.91 6,741.35 Total Assets 8,682.21 8,927.49 8,553.07 7,061.88 OD 98.24 98.56 42.55 - A/P Net 1,275.46 590.39 262.29 326.10 Current portion
3,096.32 Total Assets 5,979.28 5,115.10 4,945.87 4,876.87 OD 205.56 60.28 180.07 138.74 A/P Net 651.56 500.27 498.54 492.49 Current portion of LT - - - - Current Liabilities 956.74 632.19 722.21 723.92 Non
Inventories 1,055.97 1,258.71 1,332.57 1,427.11 Current Assets 2,128.54 2,201.68 2,468.89 2,463.40 PP&E Net 999.38 1,070.59 1,018.75 1,117.81 Non-Current Assets 1,325.69 1,279.24 1,237.68 1,323.94 Total Assets
:- Financial Position As at 30 September 2020, total consolidated assets of the Company and its subsidiary reduced by 56.45 million baht or 1.92% compare to the previous year, which was a decrease from current
beverage sales 142.0 55.3 157% 127.9 11% Total 293.0 184.2 59% 283.4 3% Gross Profit (Loss) 60.9 52.0 17% 53.4 14% Net Profit/(Loss) for the Period (8.2) (68.1) 88% (88.8) 91% Net Profit/(Loss) from the
% 29% 125 163 37 281 1,038 835 1,200 1,279 18 1930 Sep 2031 Dec 19 10% 3% 87% Equity Non-current Liabilities Current Liabilities13% 22% 65% +7% (THB million) +7% Total Equity As of 30 September 2020, the
2.85 26.19 3.18 7.40 Total 515.79 306.46 1,530.42 824.92 209.33 68.31 705.50 85.52 - Contract manufacturing business of ready-to-drink milk and pasteurized fruit juices saw its income increase by Baht
) (10.89) (3.05) (9.40) Total 581.02 491.04 1,106.54 1,014.64 89.98 18.32 91.90 9.06 - Contract manufacturing business of ready-to-drink milk and pasteurized fruit juices saw its income increase by Baht
(1.29) (9.40) (4.33) (9.38) Total 614.70 515.79 1,721.24 1,530.42 98.91 19.18 190.82 12.47 - Contract manufacturing business of ready-to-drink milk and pasteurized fruit juices saw its income increase by