2020, the company and its subsidiaries recorded a cash outflow in investing activities of 2.49Mb. This included 1.95 Mb restricted cash for Letter of guarantees and purchasing of Office Equipment of 0.54
-current assets Restricted bank deposits 14.92 20.79 (5.87) (28.24) Property, plant and equipment 484.80 357.14 127.66 35.75 Intangible assets 11.66 11.65 0.01 0.11 Retention receivables 49.06 37.25 11.81
sector at the end of the year was restricted again and decrease of consumer’s confidence accordingly. As of February 28, 2021, the Company’s total cards reached 9.19 million cards, including 2.95 million
sector at the end of the year was restricted again and decrease of consumer’s confidence accordingly. As of February 28, 2021, the Company’s total cards reached 9.19 million cards, including 2.95 million
3.18 4.00 (0.82) (20.50%) Total current assets 1,608.69 1,522.44 86.25 5.67% Restricted bank deposits 56.40 56.40 - - Property, plant and equipment 1,358.08 1,376.73 (18.65) (1.35%) Other non-current
destination countries, but certain rights may be restricted as specified in the framework of the agreement.
other businesses such as hotel, hospital activities. In case of leasing the real estate to operators of other businesses restricted for RIETs such as hotel and hospital, the variable rent portion
>2.4 ระบบการป้องกันความขัดแย้งทางผลประโยชน์ที่เป็นลายลักษณ์อักษร รวมถึงการแบ่งแยกหน้าที่ความรับผิดชอบของส่วนงาน และมาตรการการห้ามและจำกัดการซื้อขายหลักทรัพย์ (watch list และ restricted list) ที่รัดกุม
ติดตามตรวจสอบและจำกัดการทำธุรกรรม (WL : Watch List และ RL : Restricted List) ผู้ประกอบธุรกิจจัดให้มีการ
3,256.3 3,293.3 (37.0) (1.1) Inventories 402.1 185.2 216.9 117.1 Restricted deposits at financial institutions 277.6 498.7 (221.1) (44.3) Investment property (net) 144.9 124.2 20.7 16.7 Property, plant and