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Statement of Cash Flows (Continue)


                                                                               Year ended December 31,
                               Statement of Cash Flows                        2018       2019       2020
                                                                            Amount     Amount     Amount
                                                                           Baht (in Million)  Baht (in Million) Baht (in Million)


          Cash paid on interest                                             (1,801.3)  (1,873.5)   (2,376.8)
          Cash paid on income tax expneses                                      (8.8)     (14.4)    (743.7)
          Loss from operation before changes in operating assets and liabilities   (1,474.7)   1,255.0   (3,112.2)
          (Increase) Decrease in operating assets
          Loans purchased                                                    5,037.0    6,338.5     3,203.5
          Installment sale receivables                                         251.2      238.1      (75.3)
          Properties for sale                                                1,513.9    1,448.1     2,008.9
          Accrued income from auction sale                                  (2,129.5)  (4,663.7)   (1,742.0)
                                                                                                      49.0
                                                                                          329.0
          Advance for expense on asset acquisition and others                 (495.7)    (142.7)     (95.1)
     Annual Report 2020  Increase (Decrease) in operating liabilities        5,342.0   (5,342.0)         -
                                                                               116.4
          Other assets
          Unearned income from auction sale
                                                                                          (69.5)
                                                                                                     (81.5)
          Other liabilities
                                                                                66.5
     206  Long - term employee benefits                                         (48.3)    (555.0)    (124.3)
          Net cash provided from (used in) operating activities              8,178.8  (1,194.0)       30.9
          Cash flows from investing activities
          Cash paid on purchase of premises and equipment                      (78.6)     (77.9)     (82.3)
          Cash paid on purchase of available-for-sale securities            (5,656.6)  (13,744.6)        -
          Cash paid for investments measured at amortised cost                     -          -    (2,572.9)
          Cash paid on purchase of intangible assets                            (3.0)     (13.1)      (3.7)
          Decrease in bank deposits under guarantee obligations                    -          -          -
          Cash received from sale of fixed assets                                13.4        2.7        3.4
          Cash received from available-for-sale debt securities              5,655.3   13,778.1          -
          Cash received from sales of investments measured at amortised cost       -          -     2,573.5
          Cash received from investment insecurities                             8.6        4.5        1.3
          Net cash used in investing activities                               (60.9)     (50.3)      (80.7)
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