and its subsidiaries had a total asset by 677.7 MB which decreased from December 31, 2018 by 24.9 MB as a result of the increase in cash and cash equivalents by 1.6 MB, the decrease of trade and other
to Equity Shareholders was 116.1 million Baht, increased 58.4% from the same period last year. Cash Collection was 514 million Baht, increased 59.1% from the same period last year. The Company was
Financial Position Assets As of 31 March 2018 and 31 December 2017, the Group had total assets of THB 1,048.72 million and THB 1,033.81 million, respectively which mainly consist of cash and cash equivalents
to sale of Assets under Construction. Cash and cash equivalent As at 31 December 2019, the Consolidated cash and cash equivalent balance was Baht 464 million, which increased by Baht 206 million or 80
448.98 Net Profit : Owners Of The Parent 44.21 59.57 24.14 213.83 EPS (B.) 0.04 0.06 0.02 0.27 Statement of Cash Flow (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19 -31/12
Profit : Owners Of The Parent 1,818.06 726.68 725.51 438.75 EPS (B.) 0.76 0.34 0.46 0.31 Statement of Cash Flow (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19 -31/12/19
428.47 Depre. & Amor. 48.15 48.89 43.77 41.27 EBIT -87.33 72.16 10.29 387.20 Net Profit : Owners Of The Parent -85.71 59.09 3.82 369.97 EPS (B.) -0.01 0.01 0.00 0.04 Statement of Cash Flow (MB.) 2021 (01
EPS (B.) 0.22 0.01 0.13 0.09 Statement of Cash Flow (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19 -31/12/19) 2018 (01/01/18 -31/12/18) Accounting Type Consolidate
Depre. & Amor. 26.61 5.10 2.07 1.85 EBIT 145.69 78.33 61.54 40.31 Net Profit : Owners Of The Parent 105.22 53.78 43.47 29.68 EPS (B.) 0.36 0.26 0.28 53.17 Statement of Cash Flow (MB.) 2021 (01/01/21 -31
Profit : Owners Of The Parent -332.42 -634.66 179.75 293.96 EPS (B.) -0.55 -1.06 0.30 0.49 Statement of Cash Flow (MB.) 2021 (01/01/21 -31/12/21) 2020 (01/01/20 -31/12/20) 2019 (01/01/19 -31/12/19