Thai Sirakorn Public Co., Ltd. |

Financial Highlights

Unit : Million Baht

Assets

Liabilities

Shareholders' Equity

Summary of operating results

Unit : Million Bath
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financial statements
31 Dec 2022 31 Dec 2023 31 Dec 2024
Revenue
Revenue from sale of goods and rendering of services 419.80 434.62 432.96
Revenue from construction contract 201.16 246.51 108.13
Total Revenue 620.96 681.13 541.09
Cost
Cost of sale of goods and rendering of services -337.39 -304.60 -296.55
Costs of project construction -187.90 -227.03 -92.13
Total Cost -525.29 -531.63 -388.68
Gross profit
Gross Profit from sale of goods and rendering of services 82.41 130.02 136.41
Gross Profit (Loss from construction contract 13.26 19.48 16.00
Total Gross profit 95.67 149.5 152.41
Other Income 3.12 3.27 1.15
Distribution costs -43.44 -45.99 -44.43
Administrative expense -48.44 -51.34 -53.03
Finance cost -1.15 -1.78 -1.92
Income tax expenses 1.69 -10.30 -7.73
Profit for the period 9.45 42.86 49.90
Total comprehensive income for the period 9.45 43.97 49.90
Basic earnings per share EPS) (THB per share) 0.02 0.09 0.01