SG Stock MarketDetailed Quotes

TADD t AIS TH SDR

Watchlist
  • 0.915
  • +0.045+5.17%
10min DelayMarket Closed Aug 19 16:52 CST
2.72BMarket Cap2.29P/E (TTM)

t AIS TH SDR 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
4.00%14.13B
86.13%23.26B
63.53%14.74B
63.53%14.74B
68.96%15.81B
33.86%13.58B
-23.74%12.5B
-30.39%9.02B
-30.39%9.02B
-17.45%9.36B
-Cash and cash equivalents
4.00%14.13B
86.29%23.26B
63.57%14.74B
63.57%14.74B
68.96%15.81B
33.86%13.58B
-23.80%12.49B
-29.24%9.01B
-29.24%9.01B
-17.45%9.36B
-Short-term investments
----
----
--0
--0
--0
--0
--10.51M
-99.06%2M
-99.06%2M
----
Receivables
12.06%21.02B
-4.58%20.4B
12.06%21.04B
12.06%21.04B
-1.91%19.11B
0.70%18.76B
22.46%21.38B
8.62%18.77B
8.62%18.77B
16.35%19.48B
-Accounts receivable
89.12%19.19B
65.54%18.65B
17.92%19.36B
17.92%19.36B
-36.68%10.62B
-36.91%10.15B
-25.63%11.27B
93.79%16.41B
93.79%16.41B
11.01%16.77B
-Loans receivable
--0
--0
--0
--0
--0
----
--0
--0
--0
--0
-Taxes receivable
-71.83%75.31M
-51.57%97.62M
88.17%337.57M
88.17%337.57M
-20.75%278.9M
-5.05%267.36M
15.91%201.57M
2.33%179.39M
2.33%179.39M
34.19%351.93M
-Other receivables
-78.98%1.75B
-83.35%1.65B
-38.32%1.35B
-38.32%1.35B
247.17%8.22B
268.92%8.34B
364.53%9.91B
-74.75%2.18B
-74.75%2.18B
71.31%2.37B
Inventory
16.45%3.43B
-3.21%3.86B
8.02%4.15B
8.02%4.15B
-32.49%3.38B
-27.36%2.95B
4.20%3.99B
82.45%3.84B
82.45%3.84B
164.15%5.01B
Prepaid assets
1.64%1.61B
--1.13B
-9.48%1.16B
-9.48%1.16B
6.69%1.26B
26.44%1.58B
----
16.83%1.28B
16.83%1.28B
-1.26%1.18B
Restricted cash
-44.73%468.62M
-41.79%516.38M
-43.19%556.9M
-43.19%556.9M
-45.57%563.52M
-16.86%847.9M
-29.49%887.02M
-29.58%980.25M
-29.58%980.25M
-25.23%1.04B
Other current assets
-15.84%265.41M
138.38%495.86M
-56.12%177.57M
-56.12%177.57M
-63.87%213.82M
-58.06%315.35M
94.37%-1.29B
-45.34%404.7M
-45.34%404.7M
0.44%591.86M
Total current assets
7.70%41.14B
32.93%49.8B
21.84%41.84B
21.84%41.84B
7.33%40.66B
4.99%38.2B
-8.67%37.46B
-3.45%34.34B
-3.45%34.34B
12.21%37.89B
Non current assets
Net PPE
55.86%228.99B
58.23%236.06B
60.05%234.59B
60.05%234.59B
-9.52%143.64B
-9.94%146.92B
-9.38%149.18B
-5.56%146.58B
-5.56%146.58B
-6.19%158.75B
-Gross PP&E
42.30%482.76B
225.78%486.01B
31.20%460.23B
31.20%460.23B
-0.26%378.59B
-10.85%339.24B
-60.07%149.18B
2.24%350.79B
2.24%350.79B
6.67%379.57B
-Accumulated depreciation
-31.95%-253.76B
---249.95B
-10.49%-225.63B
-10.49%-225.63B
-6.40%-234.96B
11.54%-192.32B
----
-8.69%-204.22B
-8.69%-204.22B
-18.33%-220.82B
Investments and advances
899.03%12.54B
970.22%12.57B
1,002.59%12.58B
1,002.59%12.58B
-44.81%810.39M
14.86%1.26B
5.31%1.17B
5.23%1.14B
5.23%1.14B
80.23%1.47B
-Long term equity investment
1,020.13%12.42B
1,111.00%12.45B
1,153.03%12.45B
1,153.03%12.45B
-47.32%663.39M
24.26%1.11B
11.77%1.03B
1.09%993.61M
1.09%993.61M
78.71%1.26B
-Including:Available-for-sale securities
-14.48%124M
-14.48%124M
-14.48%124M
-14.48%124M
-30.62%145M
-27.86%145M
-26.02%145M
43.56%145M
43.56%145M
90.00%209M
-Including:Held to maturity investments
0.00%2M
0.00%2M
0.00%2M
0.00%2M
--2M
--2M
--2M
--2M
--2M
----
Financial assets
-33.72%57M
-23.29%56M
-19.75%65M
-19.75%65M
-6.11%123M
-29.51%86M
58.70%73M
800.00%81M
800.00%81M
--131M
Non current note receivables
--427.88M
85.00%185M
85.00%185M
85.00%185M
--0
--0
0.00%100M
0.00%100M
0.00%100M
42.86%100M
Goodwill and other intangible assets
11.60%150.05B
10.71%151.23B
7.43%160.08B
7.43%160.08B
-6.87%131.88B
-6.13%134.45B
-4.67%136.6B
-6.13%149.01B
-6.13%149.01B
-3.74%141.61B
-Goodwill
307.55%11.74B
307.55%11.74B
322.31%12.17B
322.31%12.17B
0.00%2.88B
0.00%2.88B
0.00%2.88B
0.00%2.88B
0.00%2.88B
0.00%2.88B
-Other intangible assets
5.12%138.31B
4.32%139.48B
1.22%147.91B
1.22%147.91B
-7.02%129B
-6.26%131.57B
-4.76%133.71B
-6.24%146.13B
-6.24%146.13B
-3.82%138.73B
Non current deferred assets
-18.71%3.72B
-21.93%3.65B
-19.53%3.7B
-19.53%3.7B
9.55%4.52B
11.68%4.57B
10.08%4.67B
8.54%4.6B
8.54%4.6B
2.25%4.12B
Other non current assets
36.95%1.59B
41.85%1.66B
16.60%1.4B
16.60%1.4B
-12.17%1.14B
-14.68%1.16B
-12.97%1.17B
-6.86%1.2B
-6.86%1.2B
-13.44%1.3B
Total non current assets
37.77%397.38B
38.38%405.41B
36.30%412.6B
36.30%412.6B
-8.25%282.11B
-7.88%288.45B
-6.92%292.97B
-5.60%302.71B
-5.60%302.71B
-4.73%307.48B
Total assets
34.25%438.52B
37.76%455.21B
34.83%454.44B
34.83%454.44B
-6.54%322.77B
-6.54%326.65B
-7.13%330.43B
-5.38%337.04B
-5.38%337.04B
-3.13%345.37B
Liabilities
Current liabilities
Current debt and capital lease obligation
167.87%69.04B
125.88%70.52B
129.10%72.47B
129.10%72.47B
-10.16%38.35B
-18.51%25.77B
30.03%31.22B
28.22%31.63B
28.22%31.63B
67.23%42.68B
-Current debt
264.88%53.09B
175.57%54.58B
180.09%57.4B
180.09%57.4B
-13.75%27.06B
-28.33%14.55B
50.61%19.81B
45.03%20.5B
45.03%20.5B
107.85%31.38B
-Current capital lease obligation
42.14%15.96B
39.62%15.93B
35.26%15.06B
35.26%15.06B
-0.21%11.29B
-0.93%11.23B
5.10%11.41B
5.68%11.14B
5.68%11.14B
8.44%11.31B
Payables
20.35%54.04B
15.67%72.07B
-10.85%35.41B
-10.85%35.41B
-24.33%44.94B
-22.52%44.9B
-9.44%62.31B
-4.64%39.72B
-4.64%39.72B
1.21%59.39B
-accounts payable
10.06%34.67B
125.94%37.92B
-33.80%16.03B
-33.80%16.03B
10.02%32.65B
9.15%31.5B
-29.43%16.78B
-9.46%24.22B
-9.46%24.22B
30.72%29.68B
-Total tax payable
57.68%3.85B
27.39%4.93B
28.68%4.27B
28.68%4.27B
40.39%1.46B
16.72%2.44B
13.93%3.87B
16.85%3.32B
16.85%3.32B
-6.86%1.04B
-Dividends payable
----
8.71%13.71B
----
----
----
----
0.01%12.61B
----
----
----
-Other payable
41.61%15.52B
-46.58%15.51B
23.99%15.11B
23.99%15.11B
-62.23%10.83B
-59.40%10.96B
0.10%29.04B
0.98%12.19B
0.98%12.19B
-17.75%28.67B
Current accrued expenses
----
----
12.20%18.32B
12.20%18.32B
----
----
----
-1.52%16.33B
-1.52%16.33B
----
Current provisions
0.00%3.36B
0.00%3.36B
0.00%3.36B
0.00%3.36B
0.00%3.36B
0.00%3.36B
0.00%3.36B
0.00%3.36B
0.00%3.36B
0.00%3.36B
Current deferred liabilities
-5.91%4.27B
-12.22%3.81B
-17.09%3.88B
-17.09%3.88B
-6.48%4.32B
-15.91%4.54B
-24.25%4.34B
-14.10%4.68B
-14.10%4.68B
-19.66%4.62B
Other current liabilities
112.40%428.24M
107.16%135.87M
-66.74%204.99M
-66.74%204.99M
-19.97%81.12M
185.96%201.62M
-1,107.43%-1.9B
307.23%616.37M
307.23%616.37M
29.69%101.37M
Current liabilities
66.47%131.15B
50.91%149.89B
38.72%133.65B
38.72%133.65B
-17.34%91.05B
-19.95%78.78B
-2.71%99.33B
4.87%96.34B
4.87%96.34B
17.95%110.15B
Non current liabilities
Long term debt and capital lease obligation
48.83%156.93B
423.03%162.86B
75.56%169.92B
75.56%169.92B
1.12%100.03B
1.76%105.44B
-72.02%31.14B
-15.32%96.79B
-15.32%96.79B
-17.83%98.92B
-Long term debt
-17.79%62.75B
103,664.79%65.87B
9.27%69.84B
9.27%69.84B
13.10%72.74B
14.12%76.33B
-99.91%63.48M
-13.27%63.91B
-13.27%63.91B
-17.51%64.32B
-Long term capital lease obligation
223.53%94.18B
212.11%96.98B
204.45%100.08B
204.45%100.08B
-21.14%27.29B
-20.73%29.11B
-19.70%31.07B
-19.03%32.87B
-19.03%32.87B
-18.42%34.61B
Long-term accounts payable and other payables
-10.18%44.31B
-6.59%47.35B
-0.91%51.61B
-0.91%51.61B
-18.39%42.24B
-16.08%49.33B
-15.68%50.69B
-15.19%52.09B
-15.19%52.09B
-15.19%51.76B
Derivative product liabilities
--25M
----
-76.69%38M
-76.69%38M
----
----
----
--163M
--163M
-97.50%21M
Employee benefits
16.83%3.34B
16.70%3.28B
11.28%3.26B
11.28%3.26B
-14.76%2.92B
-14.98%2.86B
-15.19%2.81B
-11.89%2.93B
-11.89%2.93B
4.27%3.43B
Other non current liabilities
187.31%8.77B
-90.31%6.45B
80.98%5.29B
80.98%5.29B
5.73%3.04B
7.44%3.05B
114.64%66.5B
-16.37%2.92B
-16.37%2.92B
4.67%2.88B
Total non current liabilities
32.79%213.37B
45.51%219.93B
48.57%230.11B
48.57%230.11B
-5.58%148.24B
-4.75%160.68B
-15.07%151.14B
-15.14%154.89B
-15.14%154.89B
-16.61%157.01B
Total liabilities
43.87%344.52B
47.65%369.82B
44.79%363.76B
44.79%363.76B
-10.43%239.28B
-10.35%239.46B
-10.56%250.47B
-8.44%251.23B
-8.44%251.23B
-5.16%267.16B
Shareholders'equity
Share capital
0.00%2.97B
-40.49%2.97B
0.00%2.97B
0.00%2.97B
0.00%2.97B
0.00%2.97B
68.04%5B
0.01%2.97B
0.01%2.97B
0.01%2.97B
-common stock
0.00%2.97B
-40.49%2.97B
0.00%2.97B
0.00%2.97B
0.00%2.97B
0.00%2.97B
68.04%5B
0.01%2.97B
0.01%2.97B
0.01%2.97B
Retained earnings
11.11%68.33B
10.01%59.76B
8.04%65.01B
8.04%65.01B
10.25%57.75B
8.64%61.5B
7.99%54.32B
6.31%60.18B
6.31%60.18B
5.31%52.38B
Paid-in capital
0.00%22.55B
0.00%22.55B
0.00%22.55B
0.00%22.55B
0.00%22.55B
0.00%22.55B
0.20%22.55B
0.20%22.55B
0.20%22.55B
0.20%22.55B
Gains losses not affecting retained earnings
0.00%500M
0.00%500M
0.00%500M
0.00%500M
0.00%500M
0.00%500M
0.00%500M
1,569.06%500M
1,569.06%500M
0.00%500M
Other equity interest
-7.64%-457.66M
80.44%-495.42M
9.55%-463.6M
9.55%-463.6M
-16.46%-371.98M
-18.16%-425.19M
-276.27%-2.53B
-23.82%-512.55M
-23.82%-512.55M
68.11%-319.42M
Other equity interest
-7.64%-457.66M
80.44%-495.42M
9.55%-463.6M
9.55%-463.6M
-16.46%-371.98M
-18.16%-425.19M
-276.27%-2.53B
-23.82%-512.55M
-23.82%-512.55M
68.11%-319.42M
Total stockholders'equity
7.81%93.9B
6.82%85.29B
5.70%90.58B
5.70%90.58B
6.81%83.41B
5.87%87.1B
5.59%79.84B
4.88%85.69B
4.88%85.69B
4.51%78.09B
Noncontrolling interests
26.41%101.07M
-21.60%100.6M
-20.80%101.09M
-20.80%101.09M
-36.53%80.54M
-36.79%79.95M
1.91%128.31M
1.48%127.63M
1.48%127.63M
1.45%126.89M
Total equity
7.82%94B
6.78%85.39B
5.67%90.68B
5.67%90.68B
6.74%83.49B
5.80%87.18B
5.58%79.97B
4.88%85.82B
4.88%85.82B
4.50%78.21B
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 4.00%14.13B86.13%23.26B63.53%14.74B63.53%14.74B68.96%15.81B33.86%13.58B-23.74%12.5B-30.39%9.02B-30.39%9.02B-17.45%9.36B
-Cash and cash equivalents 4.00%14.13B86.29%23.26B63.57%14.74B63.57%14.74B68.96%15.81B33.86%13.58B-23.80%12.49B-29.24%9.01B-29.24%9.01B-17.45%9.36B
-Short-term investments ----------0--0--0--0--10.51M-99.06%2M-99.06%2M----
Receivables 12.06%21.02B-4.58%20.4B12.06%21.04B12.06%21.04B-1.91%19.11B0.70%18.76B22.46%21.38B8.62%18.77B8.62%18.77B16.35%19.48B
-Accounts receivable 89.12%19.19B65.54%18.65B17.92%19.36B17.92%19.36B-36.68%10.62B-36.91%10.15B-25.63%11.27B93.79%16.41B93.79%16.41B11.01%16.77B
-Loans receivable --0--0--0--0--0------0--0--0--0
-Taxes receivable -71.83%75.31M-51.57%97.62M88.17%337.57M88.17%337.57M-20.75%278.9M-5.05%267.36M15.91%201.57M2.33%179.39M2.33%179.39M34.19%351.93M
-Other receivables -78.98%1.75B-83.35%1.65B-38.32%1.35B-38.32%1.35B247.17%8.22B268.92%8.34B364.53%9.91B-74.75%2.18B-74.75%2.18B71.31%2.37B
Inventory 16.45%3.43B-3.21%3.86B8.02%4.15B8.02%4.15B-32.49%3.38B-27.36%2.95B4.20%3.99B82.45%3.84B82.45%3.84B164.15%5.01B
Prepaid assets 1.64%1.61B--1.13B-9.48%1.16B-9.48%1.16B6.69%1.26B26.44%1.58B----16.83%1.28B16.83%1.28B-1.26%1.18B
Restricted cash -44.73%468.62M-41.79%516.38M-43.19%556.9M-43.19%556.9M-45.57%563.52M-16.86%847.9M-29.49%887.02M-29.58%980.25M-29.58%980.25M-25.23%1.04B
Other current assets -15.84%265.41M138.38%495.86M-56.12%177.57M-56.12%177.57M-63.87%213.82M-58.06%315.35M94.37%-1.29B-45.34%404.7M-45.34%404.7M0.44%591.86M
Total current assets 7.70%41.14B32.93%49.8B21.84%41.84B21.84%41.84B7.33%40.66B4.99%38.2B-8.67%37.46B-3.45%34.34B-3.45%34.34B12.21%37.89B
Non current assets
Net PPE 55.86%228.99B58.23%236.06B60.05%234.59B60.05%234.59B-9.52%143.64B-9.94%146.92B-9.38%149.18B-5.56%146.58B-5.56%146.58B-6.19%158.75B
-Gross PP&E 42.30%482.76B225.78%486.01B31.20%460.23B31.20%460.23B-0.26%378.59B-10.85%339.24B-60.07%149.18B2.24%350.79B2.24%350.79B6.67%379.57B
-Accumulated depreciation -31.95%-253.76B---249.95B-10.49%-225.63B-10.49%-225.63B-6.40%-234.96B11.54%-192.32B-----8.69%-204.22B-8.69%-204.22B-18.33%-220.82B
Investments and advances 899.03%12.54B970.22%12.57B1,002.59%12.58B1,002.59%12.58B-44.81%810.39M14.86%1.26B5.31%1.17B5.23%1.14B5.23%1.14B80.23%1.47B
-Long term equity investment 1,020.13%12.42B1,111.00%12.45B1,153.03%12.45B1,153.03%12.45B-47.32%663.39M24.26%1.11B11.77%1.03B1.09%993.61M1.09%993.61M78.71%1.26B
-Including:Available-for-sale securities -14.48%124M-14.48%124M-14.48%124M-14.48%124M-30.62%145M-27.86%145M-26.02%145M43.56%145M43.56%145M90.00%209M
-Including:Held to maturity investments 0.00%2M0.00%2M0.00%2M0.00%2M--2M--2M--2M--2M--2M----
Financial assets -33.72%57M-23.29%56M-19.75%65M-19.75%65M-6.11%123M-29.51%86M58.70%73M800.00%81M800.00%81M--131M
Non current note receivables --427.88M85.00%185M85.00%185M85.00%185M--0--00.00%100M0.00%100M0.00%100M42.86%100M
Goodwill and other intangible assets 11.60%150.05B10.71%151.23B7.43%160.08B7.43%160.08B-6.87%131.88B-6.13%134.45B-4.67%136.6B-6.13%149.01B-6.13%149.01B-3.74%141.61B
-Goodwill 307.55%11.74B307.55%11.74B322.31%12.17B322.31%12.17B0.00%2.88B0.00%2.88B0.00%2.88B0.00%2.88B0.00%2.88B0.00%2.88B
-Other intangible assets 5.12%138.31B4.32%139.48B1.22%147.91B1.22%147.91B-7.02%129B-6.26%131.57B-4.76%133.71B-6.24%146.13B-6.24%146.13B-3.82%138.73B
Non current deferred assets -18.71%3.72B-21.93%3.65B-19.53%3.7B-19.53%3.7B9.55%4.52B11.68%4.57B10.08%4.67B8.54%4.6B8.54%4.6B2.25%4.12B
Other non current assets 36.95%1.59B41.85%1.66B16.60%1.4B16.60%1.4B-12.17%1.14B-14.68%1.16B-12.97%1.17B-6.86%1.2B-6.86%1.2B-13.44%1.3B
Total non current assets 37.77%397.38B38.38%405.41B36.30%412.6B36.30%412.6B-8.25%282.11B-7.88%288.45B-6.92%292.97B-5.60%302.71B-5.60%302.71B-4.73%307.48B
Total assets 34.25%438.52B37.76%455.21B34.83%454.44B34.83%454.44B-6.54%322.77B-6.54%326.65B-7.13%330.43B-5.38%337.04B-5.38%337.04B-3.13%345.37B
Liabilities
Current liabilities
Current debt and capital lease obligation 167.87%69.04B125.88%70.52B129.10%72.47B129.10%72.47B-10.16%38.35B-18.51%25.77B30.03%31.22B28.22%31.63B28.22%31.63B67.23%42.68B
-Current debt 264.88%53.09B175.57%54.58B180.09%57.4B180.09%57.4B-13.75%27.06B-28.33%14.55B50.61%19.81B45.03%20.5B45.03%20.5B107.85%31.38B
-Current capital lease obligation 42.14%15.96B39.62%15.93B35.26%15.06B35.26%15.06B-0.21%11.29B-0.93%11.23B5.10%11.41B5.68%11.14B5.68%11.14B8.44%11.31B
Payables 20.35%54.04B15.67%72.07B-10.85%35.41B-10.85%35.41B-24.33%44.94B-22.52%44.9B-9.44%62.31B-4.64%39.72B-4.64%39.72B1.21%59.39B
-accounts payable 10.06%34.67B125.94%37.92B-33.80%16.03B-33.80%16.03B10.02%32.65B9.15%31.5B-29.43%16.78B-9.46%24.22B-9.46%24.22B30.72%29.68B
-Total tax payable 57.68%3.85B27.39%4.93B28.68%4.27B28.68%4.27B40.39%1.46B16.72%2.44B13.93%3.87B16.85%3.32B16.85%3.32B-6.86%1.04B
-Dividends payable ----8.71%13.71B----------------0.01%12.61B------------
-Other payable 41.61%15.52B-46.58%15.51B23.99%15.11B23.99%15.11B-62.23%10.83B-59.40%10.96B0.10%29.04B0.98%12.19B0.98%12.19B-17.75%28.67B
Current accrued expenses --------12.20%18.32B12.20%18.32B-------------1.52%16.33B-1.52%16.33B----
Current provisions 0.00%3.36B0.00%3.36B0.00%3.36B0.00%3.36B0.00%3.36B0.00%3.36B0.00%3.36B0.00%3.36B0.00%3.36B0.00%3.36B
Current deferred liabilities -5.91%4.27B-12.22%3.81B-17.09%3.88B-17.09%3.88B-6.48%4.32B-15.91%4.54B-24.25%4.34B-14.10%4.68B-14.10%4.68B-19.66%4.62B
Other current liabilities 112.40%428.24M107.16%135.87M-66.74%204.99M-66.74%204.99M-19.97%81.12M185.96%201.62M-1,107.43%-1.9B307.23%616.37M307.23%616.37M29.69%101.37M
Current liabilities 66.47%131.15B50.91%149.89B38.72%133.65B38.72%133.65B-17.34%91.05B-19.95%78.78B-2.71%99.33B4.87%96.34B4.87%96.34B17.95%110.15B
Non current liabilities
Long term debt and capital lease obligation 48.83%156.93B423.03%162.86B75.56%169.92B75.56%169.92B1.12%100.03B1.76%105.44B-72.02%31.14B-15.32%96.79B-15.32%96.79B-17.83%98.92B
-Long term debt -17.79%62.75B103,664.79%65.87B9.27%69.84B9.27%69.84B13.10%72.74B14.12%76.33B-99.91%63.48M-13.27%63.91B-13.27%63.91B-17.51%64.32B
-Long term capital lease obligation 223.53%94.18B212.11%96.98B204.45%100.08B204.45%100.08B-21.14%27.29B-20.73%29.11B-19.70%31.07B-19.03%32.87B-19.03%32.87B-18.42%34.61B
Long-term accounts payable and other payables -10.18%44.31B-6.59%47.35B-0.91%51.61B-0.91%51.61B-18.39%42.24B-16.08%49.33B-15.68%50.69B-15.19%52.09B-15.19%52.09B-15.19%51.76B
Derivative product liabilities --25M-----76.69%38M-76.69%38M--------------163M--163M-97.50%21M
Employee benefits 16.83%3.34B16.70%3.28B11.28%3.26B11.28%3.26B-14.76%2.92B-14.98%2.86B-15.19%2.81B-11.89%2.93B-11.89%2.93B4.27%3.43B
Other non current liabilities 187.31%8.77B-90.31%6.45B80.98%5.29B80.98%5.29B5.73%3.04B7.44%3.05B114.64%66.5B-16.37%2.92B-16.37%2.92B4.67%2.88B
Total non current liabilities 32.79%213.37B45.51%219.93B48.57%230.11B48.57%230.11B-5.58%148.24B-4.75%160.68B-15.07%151.14B-15.14%154.89B-15.14%154.89B-16.61%157.01B
Total liabilities 43.87%344.52B47.65%369.82B44.79%363.76B44.79%363.76B-10.43%239.28B-10.35%239.46B-10.56%250.47B-8.44%251.23B-8.44%251.23B-5.16%267.16B
Shareholders'equity
Share capital 0.00%2.97B-40.49%2.97B0.00%2.97B0.00%2.97B0.00%2.97B0.00%2.97B68.04%5B0.01%2.97B0.01%2.97B0.01%2.97B
-common stock 0.00%2.97B-40.49%2.97B0.00%2.97B0.00%2.97B0.00%2.97B0.00%2.97B68.04%5B0.01%2.97B0.01%2.97B0.01%2.97B
Retained earnings 11.11%68.33B10.01%59.76B8.04%65.01B8.04%65.01B10.25%57.75B8.64%61.5B7.99%54.32B6.31%60.18B6.31%60.18B5.31%52.38B
Paid-in capital 0.00%22.55B0.00%22.55B0.00%22.55B0.00%22.55B0.00%22.55B0.00%22.55B0.20%22.55B0.20%22.55B0.20%22.55B0.20%22.55B
Gains losses not affecting retained earnings 0.00%500M0.00%500M0.00%500M0.00%500M0.00%500M0.00%500M0.00%500M1,569.06%500M1,569.06%500M0.00%500M
Other equity interest -7.64%-457.66M80.44%-495.42M9.55%-463.6M9.55%-463.6M-16.46%-371.98M-18.16%-425.19M-276.27%-2.53B-23.82%-512.55M-23.82%-512.55M68.11%-319.42M
Other equity interest -7.64%-457.66M80.44%-495.42M9.55%-463.6M9.55%-463.6M-16.46%-371.98M-18.16%-425.19M-276.27%-2.53B-23.82%-512.55M-23.82%-512.55M68.11%-319.42M
Total stockholders'equity 7.81%93.9B6.82%85.29B5.70%90.58B5.70%90.58B6.81%83.41B5.87%87.1B5.59%79.84B4.88%85.69B4.88%85.69B4.51%78.09B
Noncontrolling interests 26.41%101.07M-21.60%100.6M-20.80%101.09M-20.80%101.09M-36.53%80.54M-36.79%79.95M1.91%128.31M1.48%127.63M1.48%127.63M1.45%126.89M
Total equity 7.82%94B6.78%85.39B5.67%90.68B5.67%90.68B6.74%83.49B5.80%87.18B5.58%79.97B4.88%85.82B4.88%85.82B4.50%78.21B
Currency Unit THBTHBTHBTHBTHBTHBTHBTHBTHBTHB

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