increase in product sales volume of 6.36 percent and increase in raw material cost, salary and benefits of the employees and gas expenses but there were decrease in repair maintenance expenses. Cost of
conversion cost which has increased by 316% from the same quarter of last year which are mainly caused by the increasing price of graphite electrode and higher repair and maintenance cost and the proportionate
million, slightly increased by THB 4 million or 13% from Q2/2021. This was due to an increase in the head office employee expenses as well as repair and maintenance expenses, which was postponed during
adjustment policy, the increase in the number of employees, as well as an increase in the cost of consumables, office supplies, repair and maintenance fee, bank fees and property tax according to business
as inventories, unbilled receivables, trade account payables etc. Cash flows used in investing activities for 2Q17 are Baht 477 million. It is mainly due to the renovation and improvement of building
the renovation and improvement of building to serve as a warehouse and production line and the expansion of top-up kiosks and vending machines. Cash flows used in financing activities for 3Q17 are Baht
increase from the same quarter of the previous year by Baht 11 Million or 6.6 percent from the increase in retail revenue according to the increase in ridership and the renovation of Metro Mall. Cost of
future employment prospects. These factors are causing customers to be cautious and delay spending related to home decoration or renovation. During the first nine months, the Company’s total revenues and
due to decreased of the revenues from Ibis Style Hotel Chiangmai by THB 4.89 million causing from low season together with economic slowdown impact and closing partial hotel area for renovation. For
19,370.8 100.0 586.7 3.0 Costs of Sales and Services Costs of sales and services principally consist of fuel costs, aircraft repair and maintenance costs, personnel expenses, cost of passenger services, and