period of 2017 showing a decrease of Baht 92.61 million or 49.92 % decrease. The reduction cost consisted of the construction one decreasing Baht 97.39 million or 65.85 % decrease and the service one
volume of the Group. For the income proportion separating by business structure consisted of Aviation refueling services at 80% and Fuel pipeline transportation services at 20% respectively. 1.1.2 Others
. The main assets consisted of: cash and cash equivalent of 1,206 million Baht, real estate development for sales of 9,133 million Baht, account receivable of 1,471 million Baht, building improvement
liabilities was Baht434.67 million, whereas in 2018 was Baht 799.66 million, showing a decrease of Baht 364.99 million or 45.64 % decrease. The significant decrease consisted of a decrease of convertible
Baht 72.48 million whereas Baht 212.80 million in the same period of 2019 showing a reduction of Baht 140.32 million or 65.94 % decrease. The lower income consisted of the construction income of Baht
fixed expenses consisted of utility expense, maintenance cost and outsourced labor cost, which was reduced following to the number of stores-closing days and a stringent control of cost whereas the
/ Drinking Water, 3-in-1 Coffee and RTD Coffee Sales of branded products by own manufacture were THB 3,414 million, up by THB 487 million or 16.6%. The amount consisted of domestic and overseas sales at the
) by THB 5.13 million, other expenses of THB 3.8 million and one-time expenses of approximately THB 34.1 million which consisted of allowance for impairment loss on hotel assets of THB 11.55 million
) from Baht 1,112 million as of 31 December 2018. Source of Funds The Company had net cash inflow of Baht 2,052 million as follows: • Net cash received from operating activities Baht 232 million consisted
) from Baht 1,112 million as of 31 December 2018. Source of Funds The Company had net cash inflow of Baht 2,052 million as follows: Net cash received from operating activities Baht 232 million consisted