acquisition date. And lastly, the Company has evaluated fair value of identifiable assets and liabilities as at the acquisition - Translation - Page 10 of 11 date. Difference between the fair value of net
the SEC Office: (a) identifiable information manifesting the client and all persons who are the beneficial owners of derivatives contracts regardless of directly or indirectly; (b) the purposes of
the SEC Office: (a) identifiable information manifesting the client and all persons who are the beneficial owners of derivatives contracts regardless of directly or indirectly; (b) the purposes of
under other service revenues and device sales. As the acquisition value was higher than CSL’s net identifiable assets, AIS recognized the value difference as goodwill amounting to Bt2.8bn. With the
identifiable net assets of the acquiree of THB 278mn from an acquisition in COMASS by MACO and 2) equipment –net of THB 168mn. Trade and other receivables were THB 815mn, an increase of THB 52mn. The increase
THB 5,851mn, an increase of 8.9% or THB 479mn due to an increase of 1) an estimated amount by which costs of the acquisition of investment in subsidiary exceed identifiable net assets of the acquiree of
of investment in subsidiary exceed identifiable net assets of the acquiree of THB 282mn from acquisition in COMASS by MACO, 2) advance payment for investment in PBSB of THB 106mn, 3) advance payments
the same period of the previous year after the fair value measurement of the identifiable assets acquired and the liabilities assumed at the acquisition date, and the measurement of goodwill of the
restated its financial statements for the same period of the previous year after the fair value measurement of the identifiable assets acquired and the liabilities assumed at the acquisition date, and the
due to an increase of 1) an estimated amount by which costs of the acquisition of investment in subsidiary exceed identifiable net assets of the acquiree of THB 282mn from acquisition in COMASS by MACO