Ending of the Period 55.97 52.58 CFROE = Cash Flow Return on Equity Increase (Decrease) (%) 49.79% 33.66% - 8 - The Corporate Group’s net cash from operating activities in the 3rd Quarter 2017 was Baht
at the Ending of the Period 31.25 32.00 CFROE = Cash Flow Return on Equity Increase (Decrease) (%) 50.92% 36.85% The Corporate Group’s net cash from operating activities in the 2nd Quarter 2020 was
loans to related parties and interest receivables of THB 4,358mn, primarily from the novation of remaining outstanding debt of assets acquired in the EBT of UE, (iii) investments in joint ventures of THB
December 2017. This was largely due to (i) long-term loans from related parties and interest payables of THB 5,025mn, or the outstanding debt assumed from the EBT of UE and (ii) an increase in current
13.5% or THB 3,004mn from 31 December 2017. This was largely due to (i) long-term loans from related parties and interest payables of THB 5,026mn, or the outstanding debt assumed from the EBT of UE, (ii
the company and subsidiaries results in a decrease in the outstanding receivables and inventories. The Company and subsidiaries are principally engaged in the stainless steel coil processing, which
accounts receivable and inventories decreased due to sales and production which contracted considerably. The decrease in overall sales of the company and subsidiaries results in a decrease in the outstanding
-2566 2024-07-23 7 ข้อมูล SET ESG Rating ปี 2566 2024-07-23 8 ข้อมูล ASEAN CG Scorecard ปี 2564 2024-07-23 กองทุนรวม ลำดับที่ ชื่อชุดข้อมูล ไฟล์ข้อมูล วันที่อัพเดทล่าสุด 1 กองทุนรวม : Outstanding รายปี
-2566 2024-07-23 7 ข้อมูล SET ESG Rating ปี 2566 2024-07-23 8 ข้อมูล ASEAN CG Scorecard ปี 2564 2024-07-23 กองทุนรวม ลำดับที่ ชื่อชุดข้อมูล ไฟล์ข้อมูล วันที่อัพเดทล่าสุด 1 กองทุนรวม : Outstanding รายปี
of Investment Units Management of Mutual Fund Private Funds or Provident Funds Limitations on Unitholding over One-Third of Outstanding Units Fundraising Market Professionals Financial Reporting