increased 6.69 million Baht compared with the year 2016. The net profit consisted of 32.36 million Baht net profit in the Separate financial statement and share of profit from investment in associated company
e.g. headcount control and the exemption of rental fee will be realized in the financial statement of Q2/2020) Net Profit and Net Profit Margin • The Company reported net profit in Q1/2020 of THB 13
Public Co er 2017, the he Company een examin solidated fin more than o 4.1 perce onsolidated illion baht, w s a net pro Debt Colle ompanies in Statement Q3/2017 MB 2,409.4 481.9 175.5 3,066.8 2,150.2 164.8
112 181 177 -2.0% 59.0% Selling, general and administrative expenses 64 119 106 -10.7% 64.2% EBITDA 66 90 102 12.6% 53.6% Net profit from financial statement 51 54 62 13.6% 21.3% Net profit (exc
company's financial costs. And subsidiaries for debentures and loans from financial institutions since the beginning of this year. Net Profit The Company’s net profit from consolidated financial statement for
warehouse and office building and to purchase hemodialysis machine), and other current liabilities as increase Baht 4.27 million, so these results net increase in operating liabilities. Statement of Financial
& Recycling Growth Plan 6 Table 4 Segment Results (Old segment) 9 Table 5 Reconciliation of Core Profit After Tax and NCI to Reported Net Profit 10 Table 6 Cash Flow Statement 10 Table 7 Debt Profile 11 Table 8
Reconciliation of Core Profit After Tax and NCI to Reported Net Profit 12 Table 7 Cash Flow Statement 12 Table 8 Debt Profile 13 Table 9 Joint Ventures Performance 13 Table 10 IVL Consolidated Statement of Income
) 4 Table 3 Major Projects Update & Recycling Growth Plan 6 Table 4 Reconciliation of Core Profit After Tax and NCI to Reported Net Profit 11 Table 5 Cash Flow Statement 11 Table 6 Debt Profile 12 Table
………………………………………………………………………………..….. 9 Table 6 Regional Revenue Breakdown…………………………………………………………………. 12 Table 7 Reconciliation of Core Profit After Tax and NCI to Reported Net Profit…….…. 14 Table 8 Cash Flow Statement