maintenance projects and as collateral for letter of guarantee for compliance with Power Purchase Agreements. Property plant and equipment increased by Baht 63.9 million from acquisition of office building
collected from investors; (3) Merger or acquisition of mutual funds; (4) Acceptance of repayment by way of securities or other assets of the fund; (5) Actions to be taken in case where the liquidity of any
where there is an incorrect calculation of the number of units or value; (2) Fees or expenses collected from investors; (3) Merger or acquisition of mutual funds; (4) Acceptance of repayment by way of
where there is an incorrect calculation of the number of units or value; (2) Fees or expenses collected from investors; (3) Merger or acquisition of mutual funds; (4) Acceptance of repayment by way of
increased investments in joint ventures (10) - - Acquisition of property, plant and equipment (50) (89) 44.1% Net Cash flows from other investing activities 11 12 (11%) Net Cash flows from (used in) investing
million was decrease, due to payment to contractor and other expense for the new office and warehouse of Baht 34.75 million, Bonus payment to employees and management Baht 11.59 million, the acquisition in
acquisition in franchise agreement and purchase asset agreement amounting to Baht 95.00 million, payment of deposit for purchase asset, rental and service deposit amount Baht 10.64 million and increase
the same period of last year, mainly due to decrease of acquisition of subsidiaries and interest in associated and joint ventures THB 6,679 million and leasehold right THB 1,599 million. Cash flows
maintenance projects and as collateral for letter of guarantee for compliance with Power Purchase Agreements. Property plant and equipment increased by Baht 63.9 million from acquisition of office building
. Property plant and equipment increased by Baht 15.7 million from acquisition of office buildings and depreciation charge during the period. Advance payments for constructions and purchase of fixed assets