-condominium projects and single houses. The marketing strategy is to create a differentiated products and services that are unique only to the Company. The sales volume target and income from sales target in
will consider using the surplus CFO in other activities to create better value for the group. Cash Flow from Investing Activities CFI as of December 31, 2018 was -123.10 mb. We have actively spent money
other activities to create better value for the Company. Cash Flow from Investing Activities CFI as of December 31, 2019 was -62.03mb due to purchase of shares in TigerSoft. Cash Flow from Financing
nowadays and to create opportunity to expand both of new and regular customers for using Boonterm kiosk and increase the Company’s growth.
which are diverse and integrated to meet the customers’ needs nowadays and to create opportunity to expand both of new and regular customers for using Boonterm kiosk and increase the Company’s growth.
Company plans to launch new services constantly which are diverse and integrated to meet the customers’ needs nowadays and to create opportunity to expand both of new and regular customers for using
and offline as well as being responsible for marketing in order to create the brand awareness in the long run. Administrative Expenses: Fixed Cost Control The fourth-quarter administrative expenses was
Throughout the term of the debentures 5 The debenture of Phuket FantaSea have collateral will help create more investment confidence for investors, Which will be beneficial to Phuket FantaSea in providing
activities to create better value for the Company. Cash Flow from Investing Activities CFI as of March 31, 2019 was positive 5.62mb. We actively invested surplus funding that we received from our IPO in a
purpose of reduced outstanding of unused equipments due to factory closure and create maximum benefit for the Company and its subsidiaries. The total transaction size of Disposal on fixed asset is USD