from non-social security patients which generated high margin and the increase of social security payment rate in the first half of year 2018. Moreover, the efficient cost management such as medicine
increase of 397.7 million baht, or 68.2%, compared on the same period from last year. Which is in line with the operating results table shown above. VI Net Profit The Group generated a net profit, in the
building and the capitalization of our software as we introduced more features. Cash surplus increased by 23.20 mb or 26.3% due to cash flow generated from operation and good working capital management. (b
sale of electricity following greater irradiation and an increase in other income not related to business operations. - Sales income SAAM Group’s income from sale of electricity is generated from a 2.0
its subsidiaries as follows: Revenue from Sales and Services In 2019, the Company and its subsidiaries generated revenues of THB 7,312 million from the sales and services, which is decreased from the
, inventory and cash on hand, upon the consolidation of TigerSoft. Cash surplus increased by 48.13mb or 43.2% due to cash flow generated from operations and good working capital management. (b) Total
ended December 31, 2019, amount of 848.2 million baht, or 6.0% from the total revenue, a decrease of 132.5 million baht, or 13.5. VI Net Profit The Group generated a net profit, in the period for year
decrease of Baht 1,815 million or 4.3% from those of 31 December 2016 following the dividend payment of Baht 3,742 million and the profits being generated during the year 2017. In 2006, the Company had
to revenue from sales of real estate. Total Revenue In the 3-month period of the second quarter of 2017, the company generated the revenue of 242.82 Million Baht, which increased by 69.73 Million Baht
same quarter of prior year by Baht 17.01 million or equivalent to 10.07%, generated by the previous branches/2 and new branches/3 especially the medical services increased by Baht 18.83 million (from the