= Cash Flow Return on Equity Increase (Decrease) (%) 49.23% 46.60% The Corporate Group’s net cash from operating activities in the 1st Quarter 2020 was Baht 291.08 million, which was higher than the net
Ending of the Period 27.13 64.31 CFROE = Cash Flow Return on Equity Increase (Decrease) (%) 52.88% 42.68% The Corporate Group’s net cash from operating activities in the 1st Quarter 2018 was Baht 274.97
/Download?FILEID=dat/news/201907/19068421.pdf 19075817.pdf investing and the cash flow from financing, an increase in inventory of THB 80 million to support the business plan offsetting a decrease in property
/19068421.pdf 19075817.pdf investing and the cash flow from financing, an increase in inventory of THB 80 million to support the business plan offsetting a decrease in property , plants and equipment of THB
investing and the cash flow from financing, an increase in inventory of THB 80 million to support the business plan offsetting a decrease in property , plants and equipment of THB 135 million since all the
Flow Return on Equity Increase (Decrease) (%) 30.94% 23.87% The Corporate Group’s net cash from operating activities in the 3rd Quarter 2019 was Baht 515.06 million, which was lower than the net profit
Cash Increase (Decrease) – Net 11.69 0.83 Cash at the Beginning of the Period 20.31 23.83 Cash at the Ending of the Period 32.00 24.66 CFROE = Cash Flow Return on Equity Increase (Decrease) (%) 36.85
Beginning of the Period 20.59 28.42 Cash at the Ending of the Period 69.20 66.70 CFROE = Cash Flow Return on Equity Increase (Decrease) (%) 58.90% 33.66% - 8 - The Corporate Group’s net cash from operating
at the Ending of the Period 31.25 32.00 CFROE = Cash Flow Return on Equity Increase (Decrease) (%) 50.92% 36.85% The Corporate Group’s net cash from operating activities in the 2nd Quarter 2020 was
Ending of the Period 55.97 52.58 CFROE = Cash Flow Return on Equity Increase (Decrease) (%) 49.79% 33.66% - 8 - The Corporate Group’s net cash from operating activities in the 3rd Quarter 2017 was Baht