land increase by Baht 479.52 million Cash Flow Statement Cash Flow Statement for the period ended 31 March 2019, the company has cash and cash equivalent transaction net decreased from 31 December 2018
month period in 2019 Baht (4.64) million Actuarial loss Baht (2.05) million Revaluation surplus on land increase by Baht 479.52 million Cash Flow Statement Cash Flow Statement for the six months period
current liabilities increase by Baht 1.24 million Employee benefit obligations increase by Baht 2.44 million Shareholders’ Equity Net operating loss for nine-month period Baht (6.94) million Cash Flow
Baht 3.08 million Shareholders’ Equity Net operating loss for the Quarter 1 /2020 Baht (6.54) million Cash Flow Statement Cash Flow Statement for the nine months period ended 31 March 2020, the company
month period in 2020 Baht 12.59 million Cash Flow Statement Cash Flow Statement for the six months period ended 30 June 2020, the company has cash and cash equivalent transaction net increased from 31
million, increasing by Baht 14.87 million or 1.00% from 2017, mainly due to the 1Q18 net profit of Baht 15.77 million. Cash Flow Statement Analysis หน่วย: ลา้นบาท For the period ended Change 31 March 2018
preconditioned air to stationary aircrafts. • the infrastructure is dedicated to the zero direct emissions performance of the airport’s own operations: electric charging points, electricity grid connection
-3.84 Air Freight 854.74 465.59 389.15 83.58 Logistics Management 366.73 295.75 70.98 24.00 Total Service Revenue 1,832.11 1,396.37 435.74 31.21 1. Revenue from sea freight management for the year ended
22.20 Air Freight 161.57 153.95 7.61 4.95 Cross-border transport 60.00 7.94 52.06 655.76 Logistics Management 84.66 80.90 3.75 4.64 Total Service Revenue 480.92 385.75 95.17 24.67 1. Revenue from marine
in the electronic customer group. In the air freight segment and increased revenue from Cross Border Service which can be classified as follows Unit : million baht Service For the three-month period