SG Stock MarketDetailed Quotes

STG Sri Trang Gloves

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  • 0.500
  • 0.0000.00%
10min DelayTrading Sep 6 16:54 CST
1.43BMarket Cap71.43P/E (TTM)

Sri Trang Gloves Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, Cash Equivalents And Short Term Investments
-45.69%5.99B
-31.91%8.15B
-34.20%9.44B
-34.20%9.44B
-34.18%9.87B
-25.85%11.02B
-36.92%11.97B
-32.53%14.35B
-32.53%14.35B
-41.00%14.99B
-Cash and cash equivalents
-76.32%1.52B
-80.38%2.35B
-70.52%4.23B
-70.52%4.23B
-66.04%5.09B
-56.65%6.41B
-36.19%11.97B
-31.68%14.35B
-31.68%14.35B
-41.00%14.99B
-Short-term investments
-3.18%4.47B
--5.8B
--5.21B
--5.21B
--4.78B
5,180.36%4.62B
----
--0
--0
--0
Receivables
34.32%3.48B
36.70%3.27B
15.25%2.64B
15.25%2.64B
2.39%2.72B
-18.78%2.59B
-33.01%2.39B
-30.65%2.29B
-30.65%2.29B
-32.83%2.65B
-Accounts receivable
33.86%2.76B
38.83%2.69B
16.16%2.14B
16.16%2.14B
-0.16%2.06B
-12.58%2.06B
-26.76%1.94B
-26.66%1.84B
-26.66%1.84B
-34.28%2.06B
-Loans receivable
----
----
--0
--0
--0
--0
--0
--0
--0
--0
-Taxes receivable
45.03%541.55M
3.04%331.79M
-5.86%275.2M
-5.86%275.2M
20.54%442.71M
-46.13%373.42M
-55.03%322.01M
-49.22%292.35M
-49.22%292.35M
-15.13%367.27M
-Due from related parties current
-91.35%6.17M
-73.74%10.16M
-45.13%21.08M
-45.13%21.08M
895.59%37.74M
1,002.88%71.32M
45.36%38.67M
213.46%38.42M
213.46%38.42M
61.46%3.79M
-Other receivables
99.12%181.46M
154.89%236.96M
75.15%199.33M
75.15%199.33M
-18.98%181.46M
-34.80%91.13M
-48.78%92.97M
-42.53%113.81M
-42.53%113.81M
-41.57%223.99M
Inventory
28.07%4.97B
5.93%4.12B
14.15%3.84B
14.15%3.84B
-2.33%3.83B
-14.17%3.88B
-13.79%3.89B
-29.59%3.36B
-29.59%3.36B
-25.98%3.92B
Prepaid assets
-26.54%108.89M
-24.64%158.68M
-59.50%39.63M
-59.50%39.63M
-62.22%92.36M
-50.71%148.23M
-36.75%210.56M
-43.08%97.84M
-43.08%97.84M
-15.26%244.46M
Other current assets
-436.43%-434
276.74%760
-260.90%-214
-260.90%-214
17.19%259
-73.78%129
-31.50%-430
238.54%133
238.54%133
148.31%221
Total current assets
-17.56%14.55B
-15.10%15.69B
-21.18%16.03B
-21.18%16.03B
-24.29%16.52B
-22.89%17.64B
-32.52%18.48B
-31.15%20.34B
-31.15%20.34B
-37.58%21.82B
Non current assets
Net PPE
-5.52%24.31B
-6.40%24.47B
-4.52%25.02B
-4.52%25.02B
-1.22%25.42B
4.11%25.73B
14.14%26.14B
28.15%26.2B
28.15%26.2B
48.93%25.74B
-Gross PP&E
-5.52%24.31B
-6.40%24.47B
1.31%35.92B
1.31%35.92B
-1.22%25.42B
4.11%25.73B
14.14%26.14B
22.03%35.46B
22.03%35.46B
48.93%25.74B
-Accumulated depreciation
----
----
-17.81%-10.9B
-17.81%-10.9B
----
----
----
-7.48%-9.25B
-7.48%-9.25B
----
Investments and advances
139.02%7.66B
154.99%7.01B
357.70%4.69B
357.70%4.69B
374.80%4.68B
310.08%3.2B
470.65%2.75B
176.19%1.02B
176.19%1.02B
--985.02M
-Long term equity investment
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-Including:Trading securities
--2.54B
--2.1B
----
----
----
----
----
----
----
----
-Including:Available-for-sale securities
59.80%5.12B
78.53%4.91B
357.70%4.69B
357.70%4.69B
374.80%4.68B
310.08%3.2B
470.65%2.75B
176.19%1.02B
176.19%1.02B
--985.02M
Financial assets
-73.21%697.28K
-47.29%763.23K
-24.08%1.52M
-24.08%1.52M
-3.89%2.38M
-39.29%2.6M
--1.45M
--2M
--2M
--2.48M
Non current accounts receivable
-26.09%116.55M
-26.17%116.43M
-26.09%116.54M
-26.09%116.54M
44.54%157.34M
43.38%157.69M
43.38%157.69M
43.38%157.69M
43.38%157.69M
54.58%108.85M
Non current prepaid assets
--1.29B
----
----
----
----
----
----
----
----
----
Goodwill and other intangible assets
-5.46%386.07M
-5.65%390.96M
-4.70%396.45M
-4.70%396.45M
-3.88%402.42M
-0.70%408.38M
2.31%414.36M
6.64%416M
6.64%416M
7.67%418.68M
-Goodwill
0.00%220.88M
0.00%220.88M
0.00%220.88M
0.00%220.88M
0.00%220.88M
0.00%220.88M
0.00%220.88M
0.00%220.88M
0.00%220.88M
0.00%220.88M
-Other intangible assets
-11.90%165.18M
-12.09%170.08M
-10.02%175.57M
-10.02%175.57M
-8.22%181.53M
-1.52%187.49M
5.08%193.48M
15.30%195.12M
15.30%195.12M
17.75%197.8M
Non current deferred assets
-18.60%320.18M
-13.53%322.58M
-14.51%320.16M
-14.51%320.16M
-11.66%362M
0.15%393.35M
-1.88%373.08M
-13.30%374.51M
-13.30%374.51M
17.94%409.77M
Other non current assets
-0.43%26.43M
341.16%27.95M
1.72%7.69M
1.72%7.69M
-78.84%7.46M
321.50%26.55M
-68.49%6.33M
7.01%7.56M
7.01%7.56M
390.53%35.27M
Total non current assets
13.98%34.11B
8.36%32.34B
8.38%30.55B
8.38%30.55B
12.04%31.03B
13.26%29.93B
22.82%29.85B
29.54%28.19B
29.54%28.19B
53.06%27.7B
Total assets
2.29%48.66B
-0.61%48.04B
-4.01%46.58B
-4.01%46.58B
-3.97%47.55B
-3.51%47.57B
-6.50%48.33B
-5.41%48.53B
-5.41%48.53B
-6.66%49.51B
Liabilities
Current liabilities
Current debt and capital lease obligation
66.90%3.37B
6.18%2.07B
2.51%1.99B
2.51%1.99B
5.09%1.99B
16.11%2.02B
32.83%1.95B
42.33%1.94B
42.33%1.94B
57.67%1.9B
-Current debt
68.27%3.35B
6.83%2.05B
3.32%1.97B
3.32%1.97B
5.48%1.96B
15.75%1.99B
33.39%1.92B
42.74%1.9B
42.74%1.9B
58.46%1.86B
-Current capital lease obligation
-20.72%24.67M
-30.77%23.17M
-36.55%25.03M
-36.55%25.03M
-13.72%33.25M
44.46%31.11M
7.11%33.48M
24.96%39.44M
24.96%39.44M
26.96%38.53M
Payables
30.30%2.35B
9.01%2.29B
-0.66%2.03B
-0.66%2.03B
4.04%1.75B
-19.35%1.8B
-34.28%2.1B
-41.40%2.05B
-41.40%2.05B
-43.61%1.69B
-accounts payable
49.25%1.81B
14.18%1.69B
10.71%1.46B
10.71%1.46B
41.74%1.23B
5.61%1.22B
-12.19%1.48B
-8.71%1.32B
-8.71%1.32B
-51.33%864.76M
-Total tax payable
-14.51%35.95M
-87.15%8.56M
-99.47%167.42K
-99.47%167.42K
-61.24%15.95M
-70.92%42.06M
-89.09%66.65M
-94.29%31.69M
-94.29%31.69M
-90.15%41.14M
-Due to related parties current
268.35%4.68M
25.11%2.64M
-26.87%1.46M
-26.87%1.46M
-23.81%1.06M
-29.76%1.27M
-67.36%2.11M
-75.45%2M
-75.45%2M
-2.39%1.39M
-Other payable
-9.21%493M
6.75%592.8M
-17.66%571.59M
-17.66%571.59M
-34.31%511.67M
-42.03%543.01M
-38.10%555.3M
-53.23%694.16M
-53.23%694.16M
-1.90%778.93M
Current deferred liabilities
57.22%500.28M
1.19%399.38M
-1.46%383.7M
-1.46%383.7M
-41.86%369.51M
-44.90%318.2M
-46.88%394.67M
-43.17%389.39M
-43.17%389.39M
-29.19%635.52M
Other current liabilities
-67.45%52.59M
15.26%74.57M
-62.91%11.27M
-62.91%11.27M
-43.90%158.72M
-23.94%161.58M
-11.01%64.7M
-71.50%30.37M
-71.50%30.37M
16.65%282.94M
Current liabilities
45.81%6.27B
7.19%4.83B
0.24%4.42B
0.24%4.42B
-5.01%4.28B
-9.70%4.3B
-17.69%4.51B
-21.95%4.41B
-21.95%4.41B
-15.59%4.5B
Non current liabilities
Long term debt and capital lease obligation
-33.14%4.01B
-31.33%4.45B
-27.36%5.04B
-27.36%5.04B
-25.05%5.52B
-5.05%6B
-3.91%6.48B
-3.12%6.94B
-3.12%6.94B
-2.22%7.37B
-Long term debt
-33.32%3.99B
-31.25%4.44B
-27.27%5.03B
-27.27%5.03B
-24.90%5.5B
-4.76%5.98B
-3.71%6.45B
-3.05%6.91B
-3.05%6.91B
-2.29%7.33B
-Long term capital lease obligation
13.62%25.51M
-51.20%13.51M
-46.39%18.02M
-46.39%18.02M
-48.80%22.57M
-47.07%22.45M
-35.28%27.69M
-14.82%33.62M
-14.82%33.62M
10.58%44.08M
Derivative product liabilities
----
----
--0
--0
--0
--0
-96.00%533.97K
-94.72%1.13M
-94.72%1.13M
-88.47%3.29M
Employee benefits
-2.32%182.04M
-2.21%177.39M
-2.09%172.72M
-2.09%172.72M
5.01%191.33M
4.96%186.36M
4.90%181.39M
4.84%176.41M
4.84%176.41M
5.64%182.2M
Non current deferred liabilities
-25.23%108.55M
-36.19%105.47M
-41.55%110.6M
-41.55%110.6M
-4.92%145.79M
90.46%145.18M
99.37%165.29M
118.86%189.21M
118.86%189.21M
88.03%153.33M
Total non current liabilities
-32.06%4.3B
-30.68%4.73B
-27.13%5.33B
-27.13%5.33B
-23.97%5.86B
-3.72%6.33B
-2.64%6.83B
-1.78%7.31B
-1.78%7.31B
-1.42%7.71B
Total liabilities
-0.56%10.57B
-15.62%9.57B
-16.83%9.75B
-16.83%9.75B
-16.98%10.14B
-6.23%10.63B
-9.24%11.34B
-10.48%11.72B
-10.48%11.72B
-7.16%12.21B
Shareholders'equity
Share capital
0.00%1.43B
0.00%1.43B
0.00%1.43B
0.00%1.43B
0.00%1.43B
0.07%1.43B
0.07%1.43B
0.07%1.43B
0.07%1.43B
0.07%1.43B
-common stock
0.00%1.43B
0.00%1.43B
0.00%1.43B
0.00%1.43B
0.00%1.43B
0.07%1.43B
0.07%1.43B
0.07%1.43B
0.07%1.43B
0.07%1.43B
Retained earnings
-4.44%18.78B
-2.54%19.83B
-2.62%19.68B
-2.62%19.68B
-2.59%19.71B
-9.13%19.66B
-11.02%20.35B
-7.35%20.21B
-7.35%20.21B
-14.04%20.23B
Paid-in capital
0.00%14.49B
0.00%14.49B
0.00%14.49B
0.00%14.49B
0.00%14.49B
0.22%14.49B
0.22%14.49B
0.22%14.49B
0.22%14.49B
0.22%14.49B
Gains losses not affecting retained earnings
-91.34%143.48M
-85.94%143.48M
56.85%1.53B
56.85%1.53B
43.88%2.07B
126.88%1.66B
39.90%1.02B
21.90%976.72M
21.90%976.72M
91.29%1.44B
Other equity interest
1,163.55%3.23B
944.79%2.56B
0.00%-303.54M
0.00%-303.54M
0.00%-303.54M
-3.70%-303.54M
-3.23%-303.54M
-2.77%-303.54M
-2.77%-303.54M
-2.31%-303.54M
Other equity interest
1,163.55%3.23B
944.79%2.56B
0.00%-303.54M
0.00%-303.54M
0.00%-303.54M
-3.70%-303.54M
-3.23%-303.54M
-2.77%-303.54M
-2.77%-303.54M
-2.31%-303.54M
Total stockholders'equity
3.10%38.08B
3.98%38.47B
0.07%36.84B
0.07%36.84B
0.29%37.41B
-2.70%36.94B
-5.63%36.99B
-3.67%36.81B
-3.67%36.81B
-6.50%37.3B
Total equity
3.10%38.08B
3.98%38.47B
0.07%36.84B
0.07%36.84B
0.29%37.41B
-2.70%36.94B
-5.63%36.99B
-3.67%36.81B
-3.67%36.81B
-6.50%37.3B
Currency Unit
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, Cash Equivalents And Short Term Investments -45.69%5.99B-31.91%8.15B-34.20%9.44B-34.20%9.44B-34.18%9.87B-25.85%11.02B-36.92%11.97B-32.53%14.35B-32.53%14.35B-41.00%14.99B
-Cash and cash equivalents -76.32%1.52B-80.38%2.35B-70.52%4.23B-70.52%4.23B-66.04%5.09B-56.65%6.41B-36.19%11.97B-31.68%14.35B-31.68%14.35B-41.00%14.99B
-Short-term investments -3.18%4.47B--5.8B--5.21B--5.21B--4.78B5,180.36%4.62B------0--0--0
Receivables 34.32%3.48B36.70%3.27B15.25%2.64B15.25%2.64B2.39%2.72B-18.78%2.59B-33.01%2.39B-30.65%2.29B-30.65%2.29B-32.83%2.65B
-Accounts receivable 33.86%2.76B38.83%2.69B16.16%2.14B16.16%2.14B-0.16%2.06B-12.58%2.06B-26.76%1.94B-26.66%1.84B-26.66%1.84B-34.28%2.06B
-Loans receivable ----------0--0--0--0--0--0--0--0
-Taxes receivable 45.03%541.55M3.04%331.79M-5.86%275.2M-5.86%275.2M20.54%442.71M-46.13%373.42M-55.03%322.01M-49.22%292.35M-49.22%292.35M-15.13%367.27M
-Due from related parties current -91.35%6.17M-73.74%10.16M-45.13%21.08M-45.13%21.08M895.59%37.74M1,002.88%71.32M45.36%38.67M213.46%38.42M213.46%38.42M61.46%3.79M
-Other receivables 99.12%181.46M154.89%236.96M75.15%199.33M75.15%199.33M-18.98%181.46M-34.80%91.13M-48.78%92.97M-42.53%113.81M-42.53%113.81M-41.57%223.99M
Inventory 28.07%4.97B5.93%4.12B14.15%3.84B14.15%3.84B-2.33%3.83B-14.17%3.88B-13.79%3.89B-29.59%3.36B-29.59%3.36B-25.98%3.92B
Prepaid assets -26.54%108.89M-24.64%158.68M-59.50%39.63M-59.50%39.63M-62.22%92.36M-50.71%148.23M-36.75%210.56M-43.08%97.84M-43.08%97.84M-15.26%244.46M
Other current assets -436.43%-434276.74%760-260.90%-214-260.90%-21417.19%259-73.78%129-31.50%-430238.54%133238.54%133148.31%221
Total current assets -17.56%14.55B-15.10%15.69B-21.18%16.03B-21.18%16.03B-24.29%16.52B-22.89%17.64B-32.52%18.48B-31.15%20.34B-31.15%20.34B-37.58%21.82B
Non current assets
Net PPE -5.52%24.31B-6.40%24.47B-4.52%25.02B-4.52%25.02B-1.22%25.42B4.11%25.73B14.14%26.14B28.15%26.2B28.15%26.2B48.93%25.74B
-Gross PP&E -5.52%24.31B-6.40%24.47B1.31%35.92B1.31%35.92B-1.22%25.42B4.11%25.73B14.14%26.14B22.03%35.46B22.03%35.46B48.93%25.74B
-Accumulated depreciation ---------17.81%-10.9B-17.81%-10.9B-------------7.48%-9.25B-7.48%-9.25B----
Investments and advances 139.02%7.66B154.99%7.01B357.70%4.69B357.70%4.69B374.80%4.68B310.08%3.2B470.65%2.75B176.19%1.02B176.19%1.02B--985.02M
-Long term equity investment --0--0--0--0--0--0--0--0--0--0
-Including:Trading securities --2.54B--2.1B--------------------------------
-Including:Available-for-sale securities 59.80%5.12B78.53%4.91B357.70%4.69B357.70%4.69B374.80%4.68B310.08%3.2B470.65%2.75B176.19%1.02B176.19%1.02B--985.02M
Financial assets -73.21%697.28K-47.29%763.23K-24.08%1.52M-24.08%1.52M-3.89%2.38M-39.29%2.6M--1.45M--2M--2M--2.48M
Non current accounts receivable -26.09%116.55M-26.17%116.43M-26.09%116.54M-26.09%116.54M44.54%157.34M43.38%157.69M43.38%157.69M43.38%157.69M43.38%157.69M54.58%108.85M
Non current prepaid assets --1.29B------------------------------------
Goodwill and other intangible assets -5.46%386.07M-5.65%390.96M-4.70%396.45M-4.70%396.45M-3.88%402.42M-0.70%408.38M2.31%414.36M6.64%416M6.64%416M7.67%418.68M
-Goodwill 0.00%220.88M0.00%220.88M0.00%220.88M0.00%220.88M0.00%220.88M0.00%220.88M0.00%220.88M0.00%220.88M0.00%220.88M0.00%220.88M
-Other intangible assets -11.90%165.18M-12.09%170.08M-10.02%175.57M-10.02%175.57M-8.22%181.53M-1.52%187.49M5.08%193.48M15.30%195.12M15.30%195.12M17.75%197.8M
Non current deferred assets -18.60%320.18M-13.53%322.58M-14.51%320.16M-14.51%320.16M-11.66%362M0.15%393.35M-1.88%373.08M-13.30%374.51M-13.30%374.51M17.94%409.77M
Other non current assets -0.43%26.43M341.16%27.95M1.72%7.69M1.72%7.69M-78.84%7.46M321.50%26.55M-68.49%6.33M7.01%7.56M7.01%7.56M390.53%35.27M
Total non current assets 13.98%34.11B8.36%32.34B8.38%30.55B8.38%30.55B12.04%31.03B13.26%29.93B22.82%29.85B29.54%28.19B29.54%28.19B53.06%27.7B
Total assets 2.29%48.66B-0.61%48.04B-4.01%46.58B-4.01%46.58B-3.97%47.55B-3.51%47.57B-6.50%48.33B-5.41%48.53B-5.41%48.53B-6.66%49.51B
Liabilities
Current liabilities
Current debt and capital lease obligation 66.90%3.37B6.18%2.07B2.51%1.99B2.51%1.99B5.09%1.99B16.11%2.02B32.83%1.95B42.33%1.94B42.33%1.94B57.67%1.9B
-Current debt 68.27%3.35B6.83%2.05B3.32%1.97B3.32%1.97B5.48%1.96B15.75%1.99B33.39%1.92B42.74%1.9B42.74%1.9B58.46%1.86B
-Current capital lease obligation -20.72%24.67M-30.77%23.17M-36.55%25.03M-36.55%25.03M-13.72%33.25M44.46%31.11M7.11%33.48M24.96%39.44M24.96%39.44M26.96%38.53M
Payables 30.30%2.35B9.01%2.29B-0.66%2.03B-0.66%2.03B4.04%1.75B-19.35%1.8B-34.28%2.1B-41.40%2.05B-41.40%2.05B-43.61%1.69B
-accounts payable 49.25%1.81B14.18%1.69B10.71%1.46B10.71%1.46B41.74%1.23B5.61%1.22B-12.19%1.48B-8.71%1.32B-8.71%1.32B-51.33%864.76M
-Total tax payable -14.51%35.95M-87.15%8.56M-99.47%167.42K-99.47%167.42K-61.24%15.95M-70.92%42.06M-89.09%66.65M-94.29%31.69M-94.29%31.69M-90.15%41.14M
-Due to related parties current 268.35%4.68M25.11%2.64M-26.87%1.46M-26.87%1.46M-23.81%1.06M-29.76%1.27M-67.36%2.11M-75.45%2M-75.45%2M-2.39%1.39M
-Other payable -9.21%493M6.75%592.8M-17.66%571.59M-17.66%571.59M-34.31%511.67M-42.03%543.01M-38.10%555.3M-53.23%694.16M-53.23%694.16M-1.90%778.93M
Current deferred liabilities 57.22%500.28M1.19%399.38M-1.46%383.7M-1.46%383.7M-41.86%369.51M-44.90%318.2M-46.88%394.67M-43.17%389.39M-43.17%389.39M-29.19%635.52M
Other current liabilities -67.45%52.59M15.26%74.57M-62.91%11.27M-62.91%11.27M-43.90%158.72M-23.94%161.58M-11.01%64.7M-71.50%30.37M-71.50%30.37M16.65%282.94M
Current liabilities 45.81%6.27B7.19%4.83B0.24%4.42B0.24%4.42B-5.01%4.28B-9.70%4.3B-17.69%4.51B-21.95%4.41B-21.95%4.41B-15.59%4.5B
Non current liabilities
Long term debt and capital lease obligation -33.14%4.01B-31.33%4.45B-27.36%5.04B-27.36%5.04B-25.05%5.52B-5.05%6B-3.91%6.48B-3.12%6.94B-3.12%6.94B-2.22%7.37B
-Long term debt -33.32%3.99B-31.25%4.44B-27.27%5.03B-27.27%5.03B-24.90%5.5B-4.76%5.98B-3.71%6.45B-3.05%6.91B-3.05%6.91B-2.29%7.33B
-Long term capital lease obligation 13.62%25.51M-51.20%13.51M-46.39%18.02M-46.39%18.02M-48.80%22.57M-47.07%22.45M-35.28%27.69M-14.82%33.62M-14.82%33.62M10.58%44.08M
Derivative product liabilities ----------0--0--0--0-96.00%533.97K-94.72%1.13M-94.72%1.13M-88.47%3.29M
Employee benefits -2.32%182.04M-2.21%177.39M-2.09%172.72M-2.09%172.72M5.01%191.33M4.96%186.36M4.90%181.39M4.84%176.41M4.84%176.41M5.64%182.2M
Non current deferred liabilities -25.23%108.55M-36.19%105.47M-41.55%110.6M-41.55%110.6M-4.92%145.79M90.46%145.18M99.37%165.29M118.86%189.21M118.86%189.21M88.03%153.33M
Total non current liabilities -32.06%4.3B-30.68%4.73B-27.13%5.33B-27.13%5.33B-23.97%5.86B-3.72%6.33B-2.64%6.83B-1.78%7.31B-1.78%7.31B-1.42%7.71B
Total liabilities -0.56%10.57B-15.62%9.57B-16.83%9.75B-16.83%9.75B-16.98%10.14B-6.23%10.63B-9.24%11.34B-10.48%11.72B-10.48%11.72B-7.16%12.21B
Shareholders'equity
Share capital 0.00%1.43B0.00%1.43B0.00%1.43B0.00%1.43B0.00%1.43B0.07%1.43B0.07%1.43B0.07%1.43B0.07%1.43B0.07%1.43B
-common stock 0.00%1.43B0.00%1.43B0.00%1.43B0.00%1.43B0.00%1.43B0.07%1.43B0.07%1.43B0.07%1.43B0.07%1.43B0.07%1.43B
Retained earnings -4.44%18.78B-2.54%19.83B-2.62%19.68B-2.62%19.68B-2.59%19.71B-9.13%19.66B-11.02%20.35B-7.35%20.21B-7.35%20.21B-14.04%20.23B
Paid-in capital 0.00%14.49B0.00%14.49B0.00%14.49B0.00%14.49B0.00%14.49B0.22%14.49B0.22%14.49B0.22%14.49B0.22%14.49B0.22%14.49B
Gains losses not affecting retained earnings -91.34%143.48M-85.94%143.48M56.85%1.53B56.85%1.53B43.88%2.07B126.88%1.66B39.90%1.02B21.90%976.72M21.90%976.72M91.29%1.44B
Other equity interest 1,163.55%3.23B944.79%2.56B0.00%-303.54M0.00%-303.54M0.00%-303.54M-3.70%-303.54M-3.23%-303.54M-2.77%-303.54M-2.77%-303.54M-2.31%-303.54M
Other equity interest 1,163.55%3.23B944.79%2.56B0.00%-303.54M0.00%-303.54M0.00%-303.54M-3.70%-303.54M-3.23%-303.54M-2.77%-303.54M-2.77%-303.54M-2.31%-303.54M
Total stockholders'equity 3.10%38.08B3.98%38.47B0.07%36.84B0.07%36.84B0.29%37.41B-2.70%36.94B-5.63%36.99B-3.67%36.81B-3.67%36.81B-6.50%37.3B
Total equity 3.10%38.08B3.98%38.47B0.07%36.84B0.07%36.84B0.29%37.41B-2.70%36.94B-5.63%36.99B-3.67%36.81B-3.67%36.81B-6.50%37.3B
Currency Unit THBTHBTHBTHBTHBTHBTHBTHBTHBTHB

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