an increase in the rate of car parking services and utility fees. Other income increased by THB 0.1 million from THB 3.9 million to THB 4.0 million. The Company also had a foreign exchange gain of THB
THB 81.3 million to THB 98.1 million due to an increase in the rate of car parking services and utility fees, and new tenants for Bangna Warehouse in Q3. The Company also had a foreign exchange gain of
) Unrealized exchange gain (loss) of cash and cash equivalents (0.81) 0.24 Cash Increase – Net 12.85 13.25 Cash at the Beginning of the Period 31.32 20.31 Cash at the Ending of the Period 44.17 33.57 CFROE
subsidiaries consists of interest income, gain on asset sales, gain on exchange rate and gain on short-term investment. For the first quarter of 2018, other incomes totaled THB 1.84 million, an increase of THB
the third quarter of 2019 was 3.1%, increased from 2.5% comparing with the same period of last year. The main reasons for the increase in profit from continuing operations were mainly due to an
rental and rendering of services increased 21.2% from THB 109.5 million to THB 132.8 million due to an increase in the rate of car parking services and utility fees, and new tenants for Bangna Warehouse in
physical count of inventories of company and subsidiary as at December 31, 2016 by DIA International Audit. The Company net profit of 332.37 million baht which increase 253.44 million bath or 321% by
hotel business, gain from sales of long-term investment, an increase in the share of profit from investment, and a decrease in depreciation and amortization. In 3Q18, Dusit Thani PLC (“the Company
Exchange Gain (Loss), and 2) Adjustments of Revenue Levelization (TFRS 15) Total Revenue In 1Q2019, Total Revenue was Baht 459.4 million, a 8.9% increase from Baht 422.0 million in 1Q2018. Utilities Business
2017 2nd Quarter/2017 six-month 2017 Unreviewed/Unaudited (90.94) 70.46 (28.07) 48.48 Reviewed/Audited (88.39) 73.01 (28.07) 48.48 Increase 2.55 2.55 - - The consolidated net loss for the second quarter