revenue from program rights of THB 411.70 million which was composed of domestic sales amounting to THB 293.24 million and export sales about THB 118.46 million, an increase of THB 84.47 million or 25.81
revenue from program rights of THB 852.86 million which was composed of domestic sales amounting to THB 574.27 million and export sales about THB 278.59 million or accounted for 67.34% and 32.66% of total
had an extra expenses from a delayed project. Those expenses were composed of both a fine from the delayed project (19.00) million baht and extra cost for the delayed project (3.76) million baht. 2.2 In
the issuance and offering of the debentures in the total amount of Baht 350 million are composed of the debentures of Phuket Fantasea Public Company Limited No. 1/2019 ,due 2020 amount of Baht 150
income gained in this current quarter approximately 39.30 % was gained from refunding of bank guarantee fee. Cost of Construction The company and its subsidiaries’ construction cost in this 2nd quarter of
of 2017 showing an increase of Baht 0.70 million or 159.09 % increase. The income gained in this current quarter approximately 67.52 % was gained from the interest receivable. Cost of Construction The
, the construction income from 4 main projects were realized. The 2 projects thereof are completed within the period. In 2018, the company’s construction income was gained from 2 projects which are
new awarded project and such an income has been gained from project on hand since 2016. Service Income The service income in this quarter was Baht 6.20 million whereas Baht 8.75 million in 2016
repayment of short- term borrowings from financial institutions by using money gained from trading of its ordinary shares in the MAI stock exchange. • Other current assets decreased by Baht 35.06 million
repayment of short- term borrowings from financial institutions by using money gained from trading of its ordinary shares in the MAI stock exchange. • Other current assets decreased by Baht 35.06 million