Bath 3.50 per share which was higher than tender offer price Baht 1.25 per share. Therefor, the tender offer price given to all holders of securities of the same class and issue was not in the same form
another 0.5 percent per year, from 6.25 percent per year to 6.75 percent per year, throughout the extended maturity period. The SEC requires that the bondholders’ representative analyze the benefits
per year to 7.50 percent per year during 27 December 2024 - 27 December 2025 (the original due date), and 7.75 percent per year during the extended maturity period; (3) A revision to the number of
of the transaction Amount of Loan : 25,000,000 Baht Interest Rate : 7 % per annum Term of Loan : 12 months Payment of Interest : Every Month Payment of Principal : Principal of payment at 1 year
holders of the Company of THB 18.14 million, which represent an increase of THB 8.71 million or 92.26 per cent, compared to the same quarter in 2016. The main results are as follows: 1. For the Consolidated
order. 2. The financial cost 1.73 million baht , increase from the same period a year before, the 0.79 million baht or 83.92 per cent due to interest expense used bank overdrafts for use of working
million, a decrease from 2017 of THB 20.41 million or 16.82 per cent. The main reasons are as follow: 1. Income from service and commission of the Consolidated Financial Statements, amount of THB 702.32
ending March 31, 2019, the Company had operating loss of the equity holders of THB 0.74 million, which represent a decrease of THB 2.82 million or 135.23 per cent, compared to the same quarter in 2018. The
company 2.1. The net book value of ordinary shares as at 30 September 2019 is 6.1347 Indian Rupees per share with net book value or par value equal to 10 Indian Rupees per share 2.2. The net book value or
10,560,000.- Baht per year. 6.1 MTC 500,000 Baht per month. Toal Amount 6,000,000 Baht per year. 6.2 AVF 6.3 WBLP 350,000 Baht per month. Toal Amount 4,200,000 Baht per year. 30,000 Baht per month. Toal Amount