Page 134 - Annual Report 2015 - Mono Technology Public Company Limited
P. 134

Statement of Comprehensive Income
Profit attributable to equity holders of
the Company 501.12 (12.42)
Profit attributable to Non-controlling
interests of the subsidiary - -
Basic earnings (loss) per share 0.18 0.00
Diluted earnings (loss) per share 0.18 0.00
Weighted average number of ordinary 3/
shares (million shares) 2,854.06 3,080.00
Remarks :
(486.57) -
(0.16) (0.16)
3,085.56
Consolidated Financial Statements
For the year ended December 31
20131/
20142/
2015
Profit attributable to
Million Baht
%
Million Baht
%
Million Baht
%
501.12
(12.42)
(486.57)
Basic earnings per share
1/The financial statement for 2013 was reclassified to conform to the financial statements as of December 31, 2014 for financial status comparison and performance analysis.
2/The financial statement for 2014 was adjusted by recording the capital of digital TV business license as of December 31, 2015 to show the adjustment according to the change.
3/Weighted average number of ordinary shares was adjusted for comparison due to the stock dividend payment to the shareholders at the rate of 6 dividend stocks for 5 existing shares on September 24, 2014.
Statement of cash flows of the Company and subsidiaries for the year ended December 31, 2013 - 2015
Consolidated Financial Statements
For the year ended December 31
20131/
2014
2015
Million Baht
Million Baht
Million Baht
Statement of Cash Flows
Net cash from operating activities
Net cash used in investing activities
Cash flows from (used in) financing activities Increase (decrease) in translation adjustments
418.34 (1,738.42)
2,112.23 0.42
144.57 (615.33) 194.91
(1.56)
233.24 (1,033.02)
387.53 8.47
Net increase (decrease) in cash and cash equivalents
792.57
(277.41)
(403.78)
Remarks : 1/The 2013 statement of cash flows was reclassified to conform to the 2014 financial statements for comparison.
134
Mono Technology Public Company Limited


































































































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