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SiamCement TH SDR10to1 (TSCD)

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  • 0.860
  • +0.015+1.78%
10min DelayMarket Closed Apr 24 16:28 CST
2.56BMarket Cap17.92P/E (TTM)

TSCD SiamCement TH SDR10to1

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Current assets
Cash, Cash Equivalents And Short Term Investments
-6.99%6.65B
-6.99%6.65B
128.10%6.97B
153.42%7.66B
-10.15%7.09B
18.56%7.15B
18.56%7.15B
28.45%3.06B
15.59%3.02B
183.94%7.9B
-Cash and cash equivalents
4.12%5.64B
4.12%5.64B
80.25%5.51B
98.76%6.01B
-34.62%5.16B
-10.16%5.41B
-10.16%5.41B
28.45%3.06B
15.59%3.02B
183.94%7.9B
-Short-term investments
-41.76%1.01B
-41.76%1.01B
--1.46B
--1.65B
--1.93B
--1.73B
--1.73B
----
----
----
Receivables
0.27%7.37B
0.27%7.37B
63.30%7.22B
52.88%7.11B
53.12%7.5B
50.03%7.35B
50.03%7.35B
-15.24%4.42B
-11.89%4.65B
-9.46%4.9B
-Accounts receivable
-8.25%5.04B
-8.25%5.04B
29.04%5.16B
24.39%5.26B
20.64%5.4B
22.43%5.5B
22.43%5.5B
-15.81%4B
-11.30%4.23B
-9.29%4.48B
-Loans receivable
--0
--0
--0
-86.22%1.55M
--5.2M
-58.33%6.25M
-58.33%6.25M
--8.25M
--11.25M
--0
-Taxes receivable
35.47%2.16B
35.47%2.16B
--1.86B
--1.58B
176,655,100.00%1.77B
628.71%1.6B
628.71%1.6B
--0
--0
-100.00%1K
-Due from related parties current
-72.57%996K
-72.57%996K
-48.63%3.82M
65.59%5.03M
-74.17%8.9M
-43.84%3.63M
-43.84%3.63M
-1.82%7.44M
-66.14%3.04M
607.62%34.46M
-Other receivables
-32.88%171.19M
-32.88%171.19M
-54.42%187.47M
-37.55%258.58M
-19.17%319.28M
41.49%255.03M
41.49%255.03M
-8.42%411.34M
-2.35%414.02M
-1.34%395M
-Recievables adjustments allowances
58.74%-460K
58.74%-460K
94.31%-411K
90.38%-706K
93.67%-476K
85.03%-1.12M
85.03%-1.12M
6.02%-7.22M
42.93%-7.34M
45.77%-7.52M
Inventory
-8.02%3.61B
-8.02%3.61B
23.61%3.99B
9.81%4.18B
8.07%4.17B
3.40%3.93B
3.40%3.93B
-30.03%3.23B
-38.60%3.81B
-47.85%3.86B
Prepaid assets
-0.92%390.4M
-0.92%390.4M
119.55%249.5M
278.75%623.79M
53.15%422.18M
135.79%394.03M
135.79%394.03M
-45.64%113.64M
-9.15%164.7M
26.66%275.66M
Restricted cash
--0
--0
--0
--0
455.01%561.85M
--988.68M
--988.68M
----
----
-1,374.82%-158.26M
Other current assets
-2.04%646.79M
-2.04%646.79M
121.71%1.03B
87.31%613.38M
94.41%703.02M
161.17%660.29M
161.17%660.29M
29.94%465.35M
38.63%327.47M
18.01%361.63M
Total current assets
-8.90%18.7B
-8.90%18.7B
72.11%19.49B
68.32%20.24B
19.41%20.51B
35.21%20.53B
35.21%20.53B
-11.38%11.32B
-17.13%12.03B
6.53%17.18B
Non current assets
Net PPE
-0.54%35.08B
-0.54%35.08B
37.23%34.66B
30.31%34.33B
30.20%34.85B
34.29%35.27B
34.29%35.27B
-7.87%25.26B
-6.16%26.34B
-3.47%26.77B
-Gross PP&E
-0.29%88.92B
-0.29%88.92B
37.23%34.66B
30.31%34.33B
30.20%34.85B
18.12%89.19B
18.12%89.19B
-7.87%25.26B
-6.16%26.34B
-3.47%26.77B
-Accumulated depreciation
0.14%-53.85B
0.14%-53.85B
----
----
----
-9.50%-53.92B
-9.50%-53.92B
----
----
----
Investments and advances
-3.42%1.95B
-3.42%1.95B
-62.24%2.05B
-64.54%2.04B
-62.93%2.11B
-62.67%2.02B
-62.67%2.02B
-8.55%5.43B
-2.52%5.75B
-3.60%5.69B
-Long term equity investment
-3.42%1.95B
-3.42%1.95B
-62.24%2.05B
-64.54%2.04B
-62.93%2.11B
-62.67%2.02B
-62.67%2.02B
-8.55%5.43B
-2.52%5.75B
-3.60%5.69B
Non current note receivables
--0
--0
--0
--0
--8.49M
--8.51M
--8.51M
----
----
----
Non current prepaid assets
----
----
----
----
----
--5.36B
--5.36B
----
----
----
Goodwill and other intangible assets
-9.41%19.13B
-9.41%19.13B
-0.23%19.49B
-6.97%19.9B
-3.52%20.97B
2.77%21.12B
2.77%21.12B
-10.41%19.53B
-3.32%21.39B
2.48%21.74B
-Goodwill
-10.23%11.7B
-10.23%11.7B
-5.93%11.95B
-13.25%12.18B
-9.34%12.93B
-3.23%13.03B
-3.23%13.03B
-11.52%12.7B
-3.10%14.04B
3.07%14.26B
-Other intangible assets
-8.09%7.43B
-8.09%7.43B
10.37%7.54B
5.04%7.72B
7.59%8.04B
14.18%8.09B
14.18%8.09B
-8.27%6.83B
-3.74%7.35B
1.38%7.48B
Non current deferred assets
-14.17%1.11B
-14.17%1.11B
-4.67%1.18B
7.50%1.29B
15.74%1.4B
5.92%1.3B
5.92%1.3B
-6.23%1.24B
-13.55%1.2B
-12.61%1.21B
Other non current assets
-3.82%690.42M
-3.82%690.42M
87.82%710.22M
87.38%766.45M
25.97%708.24M
31.63%717.83M
31.63%717.83M
-10.79%378.14M
-5.51%409.04M
31.25%562.23M
Total non current assets
-4.04%58.57B
-4.04%58.57B
12.13%58.69B
5.98%58.93B
7.40%60.65B
11.96%61.03B
11.96%61.03B
-8.86%52.34B
-4.79%55.61B
-1.15%56.48B
Total assets
-5.27%77.27B
-5.27%77.27B
22.80%78.17B
17.06%79.18B
10.20%81.16B
17.03%81.57B
17.03%81.57B
-9.32%63.66B
-7.24%67.64B
0.54%73.65B
Liabilities
Current liabilities
Current debt and capital lease obligation
-1.71%6.97B
-1.71%6.97B
227.24%10.5B
201.96%9.72B
-20.97%6.07B
-7.55%7.1B
-7.55%7.1B
-60.15%3.21B
-69.49%3.22B
146.60%7.68B
-Current debt
-3.63%6.55B
-3.63%6.55B
245.00%10.1B
219.12%9.32B
-22.02%5.74B
-7.30%6.8B
-7.30%6.8B
-61.93%2.93B
-71.22%2.92B
167.06%7.37B
-Current capital lease obligation
42.12%421.84M
42.12%421.84M
41.51%396.37M
33.31%396.27M
3.98%322.27M
-12.78%296.83M
-12.78%296.83M
-22.01%280.1M
-25.31%297.25M
-12.58%309.94M
Payables
1.30%7.76B
1.30%7.76B
26.50%7.24B
14.00%7.48B
-11.13%7.84B
34.36%7.66B
34.36%7.66B
22.35%5.73B
31.35%6.56B
-14.41%8.83B
-accounts payable
10.87%6.8B
10.87%6.8B
14.49%5.94B
7.20%6.28B
9.94%6.64B
19.26%6.13B
19.26%6.13B
24.53%5.18B
33.17%5.85B
-13.94%6.04B
-Total tax payable
-8.18%540.09M
-8.18%540.09M
41.94%408.33M
56.25%698.23M
68.68%808.05M
139.71%588.21M
139.71%588.21M
51.23%287.69M
35.34%446.86M
28.59%479.04M
-Dividends payable
----
----
----
----
----
----
----
----
----
-22.23%2.09B
-Due to related parties current
1.26%94.39M
1.26%94.39M
84.59%143.64M
25.87%88.15M
-24.16%68.73M
-27.39%93.21M
-27.39%93.21M
6.52%77.82M
36.17%70.04M
62.18%90.62M
-Other payable
-61.37%327.17M
-61.37%327.17M
330.00%755.22M
119.93%416.13M
148.53%327.15M
355.50%846.88M
355.50%846.88M
-30.61%175.63M
-12.71%189.21M
-28.72%131.63M
Current accrued expenses
-3.38%1.95B
-3.38%1.95B
22.33%2.01B
0.14%1.52B
-3.49%1.61B
25.68%2.02B
25.68%2.02B
-7.79%1.64B
-7.77%1.52B
-17.72%1.67B
Current deferred liabilities
25.89%1.24B
25.89%1.24B
18.49%1.01B
7.02%951.93M
14.64%890.43M
26.55%986.38M
26.55%986.38M
23.92%851.51M
22.97%889.45M
15.20%776.73M
Other current liabilities
-13.10%506.54M
-13.10%506.54M
56.92%537.23M
66.90%494.48M
140.83%672.58M
39.66%582.87M
39.66%582.87M
-20.89%342.37M
-32.38%296.28M
-27.00%279.27M
Current liabilities
0.49%18.43B
0.49%18.43B
80.94%21.29B
61.54%20.16B
-11.15%17.08B
13.38%18.34B
13.38%18.34B
-24.70%11.77B
-31.98%12.48B
16.46%19.23B
Non current liabilities
Long term debt and capital lease obligation
2.83%13.1B
2.83%13.1B
-23.97%11.04B
-24.82%10.95B
-12.62%12.72B
-12.22%12.74B
-12.22%12.74B
0.04%14.53B
0.15%14.57B
-23.13%14.55B
-Long term debt
0.21%11.66B
0.21%11.66B
-28.19%9.69B
-29.13%9.56B
-14.58%11.52B
-13.74%11.64B
-13.74%11.64B
-0.03%13.49B
-0.03%13.49B
-25.02%13.49B
-Long term capital lease obligation
30.50%1.44B
30.50%1.44B
31.03%1.36B
29.04%1.39B
12.10%1.19B
7.84%1.1B
7.84%1.1B
0.91%1.04B
2.48%1.08B
12.90%1.06B
Long term provisions
0.19%561.25M
0.19%561.25M
48.47%566.46M
52.69%566.68M
51.67%551.83M
57.43%560.19M
57.43%560.19M
8.85%381.53M
0.65%371.14M
1.79%363.84M
Employee benefits
-46.04%1.49B
-46.04%1.49B
-37.51%1.48B
14.25%2.71B
14.51%2.7B
17.93%2.76B
17.93%2.76B
6.20%2.38B
2.67%2.37B
-0.65%2.36B
Non current deferred liabilities
-12.66%3.25B
-12.66%3.25B
97.06%3.38B
80.81%3.46B
101.14%3.85B
120.80%3.72B
120.80%3.72B
-9.27%1.72B
-3.08%1.91B
5.39%1.91B
Other non current liabilities
1.18%687.12M
1.18%687.12M
1.19%684.12M
1.44%682.79M
8.91%729.81M
-13.31%679.13M
-13.31%679.13M
-13.28%676.08M
-13.23%673.08M
-13.19%670.12M
Total non current liabilities
-6.71%19.08B
-6.71%19.08B
-12.79%17.16B
-7.67%18.37B
3.45%20.54B
3.97%20.46B
3.97%20.46B
-0.52%19.68B
-0.39%19.9B
-18.11%19.86B
Total liabilities
-3.31%37.51B
-3.31%37.51B
22.29%38.45B
19.01%38.54B
-3.73%37.62B
8.22%38.8B
8.22%38.8B
-11.20%31.44B
-15.51%32.38B
-4.11%39.08B
Shareholders'equity
Share capital
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
-common stock
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
0.00%2.98B
Retained earnings
1.27%14.47B
1.27%14.47B
17.05%13.85B
15.98%14.19B
34.84%15.31B
16.38%14.29B
16.38%14.29B
2.42%11.83B
10.11%12.23B
8.66%11.36B
Paid-in capital
0.00%26.41B
0.00%26.41B
0.00%26.41B
0.00%26.41B
0.00%26.41B
0.00%26.41B
0.00%26.41B
0.00%26.41B
0.00%26.41B
0.00%26.41B
Gains losses not affecting retained earnings
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
Other equity interest
-28.87%-11.97B
-28.87%-11.97B
-12.00%-11.34B
-42.28%-10.93B
-28.38%-9.53B
-3.27%-9.28B
-3.27%-9.28B
-35.75%-10.13B
-5.21%-7.68B
14.30%-7.43B
Other equity interest
-28.87%-11.97B
-28.87%-11.97B
-12.00%-11.34B
-42.28%-10.93B
-28.38%-9.53B
-3.27%-9.28B
-3.27%-9.28B
-35.75%-10.13B
-5.21%-7.68B
14.30%-7.43B
Total stockholders'equity
-7.20%32.2B
-7.20%32.2B
2.55%32.19B
-3.77%32.95B
5.50%35.47B
5.21%34.7B
5.21%34.7B
-7.07%31.39B
2.22%34.24B
6.81%33.62B
Noncontrolling interests
-6.33%7.56B
-6.33%7.56B
813.26%7.53B
660.01%7.69B
751.48%8.07B
831.01%8.07B
831.01%8.07B
-18.52%824.35M
-7.28%1.01B
-7.26%947.48M
Total equity
-7.04%39.76B
-7.04%39.76B
23.30%39.72B
15.27%40.64B
25.94%43.54B
26.36%42.77B
26.36%42.77B
-7.40%32.22B
1.92%35.26B
6.37%34.57B
Currency Unit
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Current assets
Cash, Cash Equivalents And Short Term Investments -6.99%6.65B-6.99%6.65B128.10%6.97B153.42%7.66B-10.15%7.09B18.56%7.15B18.56%7.15B28.45%3.06B15.59%3.02B183.94%7.9B
-Cash and cash equivalents 4.12%5.64B4.12%5.64B80.25%5.51B98.76%6.01B-34.62%5.16B-10.16%5.41B-10.16%5.41B28.45%3.06B15.59%3.02B183.94%7.9B
-Short-term investments -41.76%1.01B-41.76%1.01B--1.46B--1.65B--1.93B--1.73B--1.73B------------
Receivables 0.27%7.37B0.27%7.37B63.30%7.22B52.88%7.11B53.12%7.5B50.03%7.35B50.03%7.35B-15.24%4.42B-11.89%4.65B-9.46%4.9B
-Accounts receivable -8.25%5.04B-8.25%5.04B29.04%5.16B24.39%5.26B20.64%5.4B22.43%5.5B22.43%5.5B-15.81%4B-11.30%4.23B-9.29%4.48B
-Loans receivable --0--0--0-86.22%1.55M--5.2M-58.33%6.25M-58.33%6.25M--8.25M--11.25M--0
-Taxes receivable 35.47%2.16B35.47%2.16B--1.86B--1.58B176,655,100.00%1.77B628.71%1.6B628.71%1.6B--0--0-100.00%1K
-Due from related parties current -72.57%996K-72.57%996K-48.63%3.82M65.59%5.03M-74.17%8.9M-43.84%3.63M-43.84%3.63M-1.82%7.44M-66.14%3.04M607.62%34.46M
-Other receivables -32.88%171.19M-32.88%171.19M-54.42%187.47M-37.55%258.58M-19.17%319.28M41.49%255.03M41.49%255.03M-8.42%411.34M-2.35%414.02M-1.34%395M
-Recievables adjustments allowances 58.74%-460K58.74%-460K94.31%-411K90.38%-706K93.67%-476K85.03%-1.12M85.03%-1.12M6.02%-7.22M42.93%-7.34M45.77%-7.52M
Inventory -8.02%3.61B-8.02%3.61B23.61%3.99B9.81%4.18B8.07%4.17B3.40%3.93B3.40%3.93B-30.03%3.23B-38.60%3.81B-47.85%3.86B
Prepaid assets -0.92%390.4M-0.92%390.4M119.55%249.5M278.75%623.79M53.15%422.18M135.79%394.03M135.79%394.03M-45.64%113.64M-9.15%164.7M26.66%275.66M
Restricted cash --0--0--0--0455.01%561.85M--988.68M--988.68M---------1,374.82%-158.26M
Other current assets -2.04%646.79M-2.04%646.79M121.71%1.03B87.31%613.38M94.41%703.02M161.17%660.29M161.17%660.29M29.94%465.35M38.63%327.47M18.01%361.63M
Total current assets -8.90%18.7B-8.90%18.7B72.11%19.49B68.32%20.24B19.41%20.51B35.21%20.53B35.21%20.53B-11.38%11.32B-17.13%12.03B6.53%17.18B
Non current assets
Net PPE -0.54%35.08B-0.54%35.08B37.23%34.66B30.31%34.33B30.20%34.85B34.29%35.27B34.29%35.27B-7.87%25.26B-6.16%26.34B-3.47%26.77B
-Gross PP&E -0.29%88.92B-0.29%88.92B37.23%34.66B30.31%34.33B30.20%34.85B18.12%89.19B18.12%89.19B-7.87%25.26B-6.16%26.34B-3.47%26.77B
-Accumulated depreciation 0.14%-53.85B0.14%-53.85B-------------9.50%-53.92B-9.50%-53.92B------------
Investments and advances -3.42%1.95B-3.42%1.95B-62.24%2.05B-64.54%2.04B-62.93%2.11B-62.67%2.02B-62.67%2.02B-8.55%5.43B-2.52%5.75B-3.60%5.69B
-Long term equity investment -3.42%1.95B-3.42%1.95B-62.24%2.05B-64.54%2.04B-62.93%2.11B-62.67%2.02B-62.67%2.02B-8.55%5.43B-2.52%5.75B-3.60%5.69B
Non current note receivables --0--0--0--0--8.49M--8.51M--8.51M------------
Non current prepaid assets ----------------------5.36B--5.36B------------
Goodwill and other intangible assets -9.41%19.13B-9.41%19.13B-0.23%19.49B-6.97%19.9B-3.52%20.97B2.77%21.12B2.77%21.12B-10.41%19.53B-3.32%21.39B2.48%21.74B
-Goodwill -10.23%11.7B-10.23%11.7B-5.93%11.95B-13.25%12.18B-9.34%12.93B-3.23%13.03B-3.23%13.03B-11.52%12.7B-3.10%14.04B3.07%14.26B
-Other intangible assets -8.09%7.43B-8.09%7.43B10.37%7.54B5.04%7.72B7.59%8.04B14.18%8.09B14.18%8.09B-8.27%6.83B-3.74%7.35B1.38%7.48B
Non current deferred assets -14.17%1.11B-14.17%1.11B-4.67%1.18B7.50%1.29B15.74%1.4B5.92%1.3B5.92%1.3B-6.23%1.24B-13.55%1.2B-12.61%1.21B
Other non current assets -3.82%690.42M-3.82%690.42M87.82%710.22M87.38%766.45M25.97%708.24M31.63%717.83M31.63%717.83M-10.79%378.14M-5.51%409.04M31.25%562.23M
Total non current assets -4.04%58.57B-4.04%58.57B12.13%58.69B5.98%58.93B7.40%60.65B11.96%61.03B11.96%61.03B-8.86%52.34B-4.79%55.61B-1.15%56.48B
Total assets -5.27%77.27B-5.27%77.27B22.80%78.17B17.06%79.18B10.20%81.16B17.03%81.57B17.03%81.57B-9.32%63.66B-7.24%67.64B0.54%73.65B
Liabilities
Current liabilities
Current debt and capital lease obligation -1.71%6.97B-1.71%6.97B227.24%10.5B201.96%9.72B-20.97%6.07B-7.55%7.1B-7.55%7.1B-60.15%3.21B-69.49%3.22B146.60%7.68B
-Current debt -3.63%6.55B-3.63%6.55B245.00%10.1B219.12%9.32B-22.02%5.74B-7.30%6.8B-7.30%6.8B-61.93%2.93B-71.22%2.92B167.06%7.37B
-Current capital lease obligation 42.12%421.84M42.12%421.84M41.51%396.37M33.31%396.27M3.98%322.27M-12.78%296.83M-12.78%296.83M-22.01%280.1M-25.31%297.25M-12.58%309.94M
Payables 1.30%7.76B1.30%7.76B26.50%7.24B14.00%7.48B-11.13%7.84B34.36%7.66B34.36%7.66B22.35%5.73B31.35%6.56B-14.41%8.83B
-accounts payable 10.87%6.8B10.87%6.8B14.49%5.94B7.20%6.28B9.94%6.64B19.26%6.13B19.26%6.13B24.53%5.18B33.17%5.85B-13.94%6.04B
-Total tax payable -8.18%540.09M-8.18%540.09M41.94%408.33M56.25%698.23M68.68%808.05M139.71%588.21M139.71%588.21M51.23%287.69M35.34%446.86M28.59%479.04M
-Dividends payable -------------------------------------22.23%2.09B
-Due to related parties current 1.26%94.39M1.26%94.39M84.59%143.64M25.87%88.15M-24.16%68.73M-27.39%93.21M-27.39%93.21M6.52%77.82M36.17%70.04M62.18%90.62M
-Other payable -61.37%327.17M-61.37%327.17M330.00%755.22M119.93%416.13M148.53%327.15M355.50%846.88M355.50%846.88M-30.61%175.63M-12.71%189.21M-28.72%131.63M
Current accrued expenses -3.38%1.95B-3.38%1.95B22.33%2.01B0.14%1.52B-3.49%1.61B25.68%2.02B25.68%2.02B-7.79%1.64B-7.77%1.52B-17.72%1.67B
Current deferred liabilities 25.89%1.24B25.89%1.24B18.49%1.01B7.02%951.93M14.64%890.43M26.55%986.38M26.55%986.38M23.92%851.51M22.97%889.45M15.20%776.73M
Other current liabilities -13.10%506.54M-13.10%506.54M56.92%537.23M66.90%494.48M140.83%672.58M39.66%582.87M39.66%582.87M-20.89%342.37M-32.38%296.28M-27.00%279.27M
Current liabilities 0.49%18.43B0.49%18.43B80.94%21.29B61.54%20.16B-11.15%17.08B13.38%18.34B13.38%18.34B-24.70%11.77B-31.98%12.48B16.46%19.23B
Non current liabilities
Long term debt and capital lease obligation 2.83%13.1B2.83%13.1B-23.97%11.04B-24.82%10.95B-12.62%12.72B-12.22%12.74B-12.22%12.74B0.04%14.53B0.15%14.57B-23.13%14.55B
-Long term debt 0.21%11.66B0.21%11.66B-28.19%9.69B-29.13%9.56B-14.58%11.52B-13.74%11.64B-13.74%11.64B-0.03%13.49B-0.03%13.49B-25.02%13.49B
-Long term capital lease obligation 30.50%1.44B30.50%1.44B31.03%1.36B29.04%1.39B12.10%1.19B7.84%1.1B7.84%1.1B0.91%1.04B2.48%1.08B12.90%1.06B
Long term provisions 0.19%561.25M0.19%561.25M48.47%566.46M52.69%566.68M51.67%551.83M57.43%560.19M57.43%560.19M8.85%381.53M0.65%371.14M1.79%363.84M
Employee benefits -46.04%1.49B-46.04%1.49B-37.51%1.48B14.25%2.71B14.51%2.7B17.93%2.76B17.93%2.76B6.20%2.38B2.67%2.37B-0.65%2.36B
Non current deferred liabilities -12.66%3.25B-12.66%3.25B97.06%3.38B80.81%3.46B101.14%3.85B120.80%3.72B120.80%3.72B-9.27%1.72B-3.08%1.91B5.39%1.91B
Other non current liabilities 1.18%687.12M1.18%687.12M1.19%684.12M1.44%682.79M8.91%729.81M-13.31%679.13M-13.31%679.13M-13.28%676.08M-13.23%673.08M-13.19%670.12M
Total non current liabilities -6.71%19.08B-6.71%19.08B-12.79%17.16B-7.67%18.37B3.45%20.54B3.97%20.46B3.97%20.46B-0.52%19.68B-0.39%19.9B-18.11%19.86B
Total liabilities -3.31%37.51B-3.31%37.51B22.29%38.45B19.01%38.54B-3.73%37.62B8.22%38.8B8.22%38.8B-11.20%31.44B-15.51%32.38B-4.11%39.08B
Shareholders'equity
Share capital 0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B
-common stock 0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B0.00%2.98B
Retained earnings 1.27%14.47B1.27%14.47B17.05%13.85B15.98%14.19B34.84%15.31B16.38%14.29B16.38%14.29B2.42%11.83B10.11%12.23B8.66%11.36B
Paid-in capital 0.00%26.41B0.00%26.41B0.00%26.41B0.00%26.41B0.00%26.41B0.00%26.41B0.00%26.41B0.00%26.41B0.00%26.41B0.00%26.41B
Gains losses not affecting retained earnings 0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M
Other equity interest -28.87%-11.97B-28.87%-11.97B-12.00%-11.34B-42.28%-10.93B-28.38%-9.53B-3.27%-9.28B-3.27%-9.28B-35.75%-10.13B-5.21%-7.68B14.30%-7.43B
Other equity interest -28.87%-11.97B-28.87%-11.97B-12.00%-11.34B-42.28%-10.93B-28.38%-9.53B-3.27%-9.28B-3.27%-9.28B-35.75%-10.13B-5.21%-7.68B14.30%-7.43B
Total stockholders'equity -7.20%32.2B-7.20%32.2B2.55%32.19B-3.77%32.95B5.50%35.47B5.21%34.7B5.21%34.7B-7.07%31.39B2.22%34.24B6.81%33.62B
Noncontrolling interests -6.33%7.56B-6.33%7.56B813.26%7.53B660.01%7.69B751.48%8.07B831.01%8.07B831.01%8.07B-18.52%824.35M-7.28%1.01B-7.26%947.48M
Total equity -7.04%39.76B-7.04%39.76B23.30%39.72B15.27%40.64B25.94%43.54B26.36%42.77B26.36%42.77B-7.40%32.22B1.92%35.26B6.37%34.57B
Currency Unit THBTHBTHBTHBTHBTHBTHBTHBTHBTHB
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