management The Board of Directors Meeting No.3/2018, held on March 7, 2018, approve the reduction Cash reserve for operations of the company. Currently, the company has a cash reserve that has been approved in
from January - December 2020 6 Renewable Energy Reduce Electricity Consumption GHG REDUCTION T 20257M20212020 T 2030 Renewable Energy 100%24.5%22.7% GHG Reduction -50.0%-18% Energy Consumption Reduction
) 101% (68) (128) (11) 501% Proceeds from issue of ordinary shares due to warrants exercised 490 457 7% (3) 84 5 (154)% Increase/(Decrease) in Net Debt on cash basis3 1,357 (154) 777 530 49 1 Includes
herewith explanation and analysis of the Management as follows. 1. Income, gross profit, net profit Unit : Million Baht 1. Income 2018 2017 2016 Increase (decrease) 2018-2017 1.1 Construction material 233.01
ended 30 September 2017 compared with the same period of the previous year as follows; 1. Overall operating results (Unit : million Baht) Q 3 ended 30 September % changes 2017 2016 Increase (decrease
Increase/(Decrease) Baht million Baht million Baht million % Revenue from Sales and Services 1,467.5 1,633.8 166.2 11.3 - Operating Revenue1 1,317.2 1,570.2 253.0 19.2 - Other Income from Utilities Business2
follows: Increase / Decrease 2018 % 2017 % MB. % Sales income 30,514 100.00 31,724 100.0 (1,211) (3.8) Selling expenses 1,096 3.6 987 3.1 109 11.0 Administrative expenses 2,408 7.9 2,802 8.8 (394) (14.1
submit herewith explanation and analysis of the Management as follows. 1. Income, gross profit, net profit Unit : Million Baht 1. Income 2019 2018 2017 Increase (decrease) 2019-2018 1.1 Construction
-28.7% Net Profit 903.2 993.2 -90.0 -9.1% Million Baht Increase (Decrease) The operating result of the Company for FY 2018/2019 (1 April 2018 to 31 March 2019), the Company earned net profit of 903.2
of profit from investments in associates 33.6 59.2 -25.6 -43.2% Net Profit 215.0 304.8 -89.7 -29.4% Increase (Decrease) The operating result of the Company for Q1 2019/2020 (1 April 2019 to 30 June