Page 230 - CRC_One Report 2021_EN
P. 230
Business Overview and Performance Corporate Governance Financial Statements Enclosure
Statement of comprehensive income (continued)
Year Ended 31 December
2019 2020 2021
THB Million % THB Million % THB Million %
Profit attributable to:
Owners of the parent 10,633 4.8 46 0.0 59 0.0
Non-controlling interests 1,726 0.8 295 0.2 217 0.1
Profit for the year 12,359 5.5 341 0.2 277 0.1
Total comprehensive income attributable to:
Owners of the parent 9,130 4.1 (393) (0.2) 5,407 2.8
Non-controlling interests 1,675 0.8 194 0.1 423 0.2
Total comprehensive income for the year 10,805 4.9 (199) (0.1) 5,830 3.0
Basic earnings per share 2.26 0.01 0.01
Statement of cash flows
The following table sets forth a condensed summary of our statement of cash flows for the periods presented.
Year Ended 31 December
2019 2020 2021
(THB Million)
Statement of cash flows
Net cash from (used in) operating activities 18,386 11,961 23,360
Net cash from (used in) investing activities (13,588) (8,779) (22,906)
Net cash from (used in) financing activities (6,480) 2,905 (149)
Net increase (decrease) in cash and cash
(1,682) 6,087 306
equivalents, before effect of exchange rates
Effect of exchange rate changes on cash
(316) 186 572
and cash equivalents
Translating foreign operations 1,006 (435) (210)
Net increase (decrease) in cash
(992) 5,839 667
and cash equivalents
Cash and cash equivalents at 1 January 11,065 10,073 15,912
Cash and cash equivalents at 31 December 10,073 15,912 16,579
230 Annual Report 2021 (Form 56-1 One-Report)

