MFC ASSET MANAGEMENT PUBLIC COMPANY LIMITED|Specific Fund | Offering Date : 10/09/2007 - 24/09/2007
MFC ASSET MANAGEMENT PUBLIC COMPANY LIMITED|Specific Fund | Offering Date : 18/06/2008 - 25/06/2008
Capital (Increase capital 450 million on 29 November-2018) 300.00 Shareholders- Equity 215.48 Total Revenue 34.96 Expenditure 64.83 Net Profit (Loss) (29.87) Earning Per Share (E.P.S.) (0.27) Book value per
) Total revenue 172.32 Expenditure 167.18 Net profit (loss) 5.14 Earning per share (baht) 0.60 Book value per share (baht) 0 Weight common stock (share) 8,636,100.00 10. Opinion of the company(s audit
liability 4,470 Registered and paid up capital 1,655 Shareholders’ equity 6,047 Total revenue 3,853 Expenditure 3,075 Net profit (loss) 683 Earning per share (baht) 3.94 Book value per share (baht) 36.54
. Asset Value Method (NTA) NTA of the invested funds x proportion of the assets acquired Company.s NTA 1.03 2. Net Profit Method New profit of the invested funds x proportion of the asset acquired The
headquarters project and exemption of income tax for income spent for this capital expenditure. (7) Net Profit For Q3/2017 the Company and Subsidiary Companies had Total Consolidated Net Profit of Baht 368.5
from finance lease Total Revenue Net profit Interest expense Earnings before interest and tax expenses Interest bearing debts – (Cash and cash equivalents + Restricted cash + Current investments
(854) (842) (985) (13)% (3,631) (4,137) (12)% Profit before tax 6,722 10,416 5,348 26% 25,085 19,663 28% Income tax expense 881 387 850 4% 2,664 2,977 (11)% Current tax expense/(income) 834 1,102 514 62
% Interest expense from ABPIF 594 546 -8.0% Unrealized loss/(gain) from FX -229 -1,113 387.1% Other financing costs 16 328 1998.1% Finance cost 2,563 2,053 -19.9% Tax expense (income) Tax on profits for the