liability & spectrum license payable to EBITDA 2.2 2.1 2.2 Others 3,132 0.8% 3,097 0.9% Current Assets 42,155 12% 42,381 12% Current Ratio (times) 0.4 0.4 0.4 Spectrum license 110,219 31% 127,043 35% Interest
Analysis (Unit : Million Baht) December December Change 2022 2021 Amount % Change Total Assets 25,469.0 22,722.5 2,746.5 12.1% Total Liabilities 15,539.5 13,907.7 1,631.8 11.7% Total Equities 9,929.5 8,814.8
December Change 2023 2022 Amount % Change Total Assets 25,010.0 25,469.0 -459.0 -1.8% Total Liabilities 14,303.4 15,539.5 -1,236.1 -8.0% Total Equities 10,706.6 9,929.5 777.1 7.8% 99 หมู่ท ี1 นิคมอุตสาหกรรม
1,327.9 million (5.7%) for 9M 2023. 3) Financial Position Analysis (Unit : Million Baht) September December Change 2024 2023 Amount % Change Total Assets 22,650.7 25,293.3 -2,642.6 -10.4% Total Liabilities
disposal of the material assets of the Business, fine compensation, or any monetary amount which the Tender Offeror has received from sales of shares under the SPA (if any) or the proceeds from the increase
percent subject to the Company’s net tangible assets (NTA), greater than THB 20,000,000 and greater than 3 percent of the Company’s net tangible assets pursuant to consolidated financial statement for the
sale. 1.2 Non current asset as at June 30, 2017 amount of Baht 577.29 million increase Baht 28.93 million or 5.28% , an increase in property, plant and equipment by Baht 26.87 million, due to the
, exchange traded fund (ETF), property funds, structured notes and other debt securities; (c) Relevant knowledge on accounting, finance and tax such as accounting standards; (d) Knowledge on assessment or
, exchange traded fund (ETF), property funds, structured notes and other debt securities; (c) Relevant knowledge on accounting, finance and tax such as accounting standards; (d) Knowledge on assessment or
traded fund (ETF), property funds, structured notes and other debt securities; (c) Relevant knowledge on accounting, finance and tax such as accounting standards; (d) Knowledge on assessment or analysis of