followings: Total revenue of Q3/17 in increased by 9.47 million baht (4.64%) comparing with Q2/17 but is decreased by 7.82 million baht (3.53%) when comparing with Q3/16. The increasing in total revenue
transfer control on goods and services to customer by contract’s condition. 2) Advance received from construction contracts total of Baht 215.33 Million which were advanced received from customers. And these
, increased by Baht 151.27 Million or 43.86% compared with the same period of last year. Resulted from revenue recognition which has progress of the construction of the project on hand (Backlog) which were
. However, contract labilities that mention above increased of Baht 9.91 Million, or 4.56% compared with last year. These changing resulted from construction income received in advance increasing during the
products and services increased by 17.9 MB, representing an increase of 100% because the advance payment for products and services in Q2–2019 were made. Especially, to the Aluminum ingot for the fabrication
and work retention. • Inventories increased by Baht 13 million. This was primarily due to work in progress for engineering service. • Restricted cash increased Baht 12 million due to maintenance reserve
products and services increased by 496.2 MB, representing an increase of 100% because in Q1–2019, there was an advance payment for products and services of the New Parliament Project in Information and
Microsoft Word - Draft MD&A_E Q3_2561_9.11.18 Management Discussion and Analysis: MD&A 1. Company Situation The company’s revenue for Q3/2018 has greatly increased compared to the revenue for Q3/2017
Transport Computer Services Company Limited. Those projects were in the process of operation. Advance payment for products and services increased by 47.1 MB, representing an increase of 100% because the
property, plant and equipment of Baht 950.08 million mostly was the construction in progress for Carnival Magic project. Temporary investment increased of Baht 48.44 million. Trade and other current