Schedule License payment schedule Others 2,062 0.7% 5,756 2.0% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 284,067 100% 291,392 100% 4Q18 - 10,000 10,247 - Trade payable 14,686 5.2% 15,295 5.2% 2019
Schedule License payment schedule Others 2,062 0.7% 5,337 1.8% Bt mn Debenture Loan 1800MHz 900MHz Total Assets 284,067 100% 290,505 100% 2019 7,789 9,264 - 4,020 Trade payable 14,686 5.2% 18,422 6.3% 2020
% Figures from P&L are annualized YTD. Defer tax asset 3,491 1.2% 3,777 1.0% Debt Repayment Schedule License payment schedule Others 4,984 1.7% 5,311 1.4% Bt mn Debenture Loan 1800MHz 900MHz 2600MHz Total
asset 4,120 1.2% 4,131 1.1% Debt Repayment Schedule License payment schedule Others 5,312 1.5% 5,308 1.4% Bt mn Debenture Loan 1800MHz 900MHz 2600MHz 700MHz Total Assets 350,171 100% 369,646 100% 2H21
Schedule License payment schedule Bt mn Debenture Loan 900MHz 2600MH 700MHz 2H22 - 7,793 - - 1,715 2023 7,820 7,689 7,565 - 3,473 2024 6,638 7,432 7,565 - 3,473 2025 - 9,102 7,565 2,934 3,473 2026 8,180
) 15.7 15.7 14.8 Debt Service Coverage Ratio (times) 4.2 3.2 2.1 Return on Equity 35 % 32 % 31 % Figures from P&L are annualized YTD. Debt Repayment Schedule License payment schedule Bt mn Debenture Loan
) 15.7 15.7 14.8 Debt Service Coverage Ratio (times) 4.2 3.2 2.1 Return on Equity 35 % 32 % 31 % Figures from P&L are annualized YTD. Debt Repayment Schedule License payment schedule Bt mn Debenture Loan
Return on Equity 35 % 32 % 31 % Figures from P&L are annualized YTD. Debt Repayment Schedule License payment schedule Bt mn Debenture Loan 900MHz 2600MH 700MHz 3M22 16,287 2023 7,820 7,689 7,565 3,473 2024
treasury bills accordingly, while investors would be able to make investment decision in line with bond auction schedule. 2. Management of treasury reserves would be more efficient as the reserves maintained
Acquisition and Disposal of Assets of AAPICO Hitech Public Company Limited (Schedule 1) AAPICO Hitech Public Company Limited (“the Company”) hereby informed that the Board of Directors’ Meeting No. 90/2017