period. While the interest arising from the loans for investment in the second phase of Hydrant pipeline system expansion project at BKK of TARCO and NFPT Project will be capitalize in the projects' cost
plane cost Baht 26.27 For the sec main reaso period of l plant cost i Baht 12.21 reasons for from sales an x-month of 2 of printing b increase in re mpany holds by Baht 123. ion. cond quarter on was from
Statement Form and Period for Preparing Opinion Concerning Tender Offer
Statement Form and Period for Preparing Opinion Concerning Tender Offer
statement of the period the law came into force in the Q2/2019. 2. Report and Analysis of Financial Status 2.1 Assets As of March 31, 2018 the Group had total assets at the amount of Bt16,967.9 million
cash equivalent of Bt1,426.5 million which cash flow summarized for the period of the year were below;- - The Group’s net cash from operation was of Bt1,488.1 million, decreasing by Bt350.4 million or
of Bt1,504.4 million which cash flow summarized for the period of 2018 were below;- - The Group’s net cash from operation was of Bt1,838.5 million, increasing by Bt106.6 million or 6.2% - Cash for
Cash and cash equivalent of Bt1,504.4 million which cash flow summarized for the period of 2018 were below;- - The Group’s net cash from operation was of Bt1,838.5 million, increasing by Bt106.6 million
%(y-o-y). The total revenue of the nine months of 2019 totaled to Bt2,937.4 million, increased by Bt93.8 million or 3.3% compared to the same period of 2018 which of Bt2,843.6 million and the services
same period of 2018 which of Bt1,903.1 million and the services income was of Bt1,929.8 million increased by Bt51.5 million or 2.7%(y-o-y). While the others income in Q2/2019 and in the first six months