For the year 2018, the Company has decreasing in net cash and cash equivalents totaling Baht 137.87 million when compare with previous year. The details of cash flows each activities as follows
. Liquidity Cash Flow Activities For the three- month period ended March 31, 2019, the Company and its subsidiaries generated cash flows from operating activities of approximately THB 304.79 million, decreased
from THB 10.15 per share as at December 31, 2018. Liquidity Cash Flow Activities For the six- month period ended June 30, 2019, the Company and its subsidiaries generated cash flows from operating
flows statement As at 30th Jun 2019 As at 30th Jun 2018 Net cash from (used in) operating activities 41.70 -26.92 Net cash used in investing activities -6.38 3.11 Net cash from (used in) financing
and Analysis for the 2nd Quarter 2018 Page 8 of 13 Liquidity Cash Flow Activities For the six-month period ended June 30, 2018, the Company and its subsidiaries generated cash flows from operating
, the consolidated statements of comprehensive income for the three-month and six-month periods, the consolidated of changes in equity, and cash flows for the six-month period ended 30 June 2017
September 30, 2018, the Company and its subsidiaries generated cash flows from operating activities of approximately THB 2,045.71 million, decreased by THB 306.71 million from the same period last year. GFPT
ratio as at 30th September and 31st March 2018 were both 0.40 times. 7 (Unit: Baht million) Consolidated cash flows statement As at 30th Sep 2018 As at 30th Sep 2017 Net cash from (used in) operating
income for the three-month and nine-month periods, the consolidated of changes in equity, and cash flows for the nine-month period ended 30 September 2017, comparative information, were adjusted according
375.7 million on 31 December 2017. The Company had cash flows from operating activities of THB 2,318.9 million. Cash flows used in investing activities amounted to THB 421.6 million as there were