Dec 2017 31 March 2018 Change MB % MB % MB % Cash and cash equivalents 513.4 9.8% 744.5 10.9% 231.1 45.0% Refundable value added tax 62.5 1.2% 69.1 1.0% 6.6 10.6% Other current asset 38.6 0.7% 33.7 0.5
cumulative tax losses can be used. In the year 2017 : Asset and liability, there were current asset 445.02 Million Baht increased 141.42 Milllion Baht from 2016, as the result of cash flow from operation and
% Trade and other receivables 56.0 2.3% 62.8 2.6% 6.8 12.2% Property development costs 156.7 6.5 186.0 7.6% 29.3 18.7% Other current asset 26.7 1.1% 33.7 1.4% 7.0 26.2% Total current asset 260.7 10.8% 305.9
% 12.9 33.1% Property development costs 243.9 9.8% 242.9 9.7% -1.0 -0.4% Other current asset 23.4 0.9% 28.9 1.2% 5.5 23.5% Management Discussion and Analysis Q1/2018 Page 3/4 JAS Asset Public Company
% Asset from reinsurance 0 0.0% 120.8 1.4% 120.8 100.0% Current portion of loans receivable from purchase 498.7 9.5% 470.8 5.6% -27.9 -5.6% Other Current Assets 159.2 3.0% 1,024.4 12.2% 865.2 543.5% Current
% Asset from reinsurance 0 0.0% 120.8 1.4% 120.8 100.0% Current portion of loans receivable from purchase 498.7 9.5% 470.8 5.6% -27.9 -5.6% Other Current Assets 159.2 3.0% 1,024.4 12.2% 865.2 543.5% Current
104.3 2.5% 104.3 2.0% - 0.0% Other Non-Current Asset 121.6 2.9% 155.5 3.0% 33.9 27.9% Total Non-Current asset 3,247.1 78.0% 4,076.6 77.7% 829.5 25.5% Total Assets 4,164.0 100.0% 5,247.9 100.0% 1,083.9
-Net 3,021.1 72.6% 3,816.7 72.7% 795.6 26.3% Other long-term investment 104.3 2.5% 104.3 2.0% - 0.0% Other Non-Current Asset 121.6 2.9% 155.5 3.0% 33.9 27.9% Total Non-Current asset 3,247.1 78.0% 4,076.6
year 2018 equal to 93.3 million Baht. The current asset was 2,310.5 million Baht or 27.6% of total asset and non-current asset 6,052.7 million Baht or 72.4% of total asset. An increasing of total asset
details of the change are as follow : 1.1 Current asset as at March 31, 2018 of Baht 323.41 million increase by Baht 153.06 million or 89.85%, due to cash and cash equivalents increase Baht 7.66 million