KTech Construction Public Company Limited reported unaudited reported consolidated and separate earnings results for the second quarter and six months ended June 30, 2018. For the quarter, on consolidated basis, the company reported revenue from construction contracts of THB 32,846,320 compared to THB 309,375,087 a year ago. Loss before income tax expenses was THB 380,501,846 compared to profit of THB 11,651,928 a year ago. Loss attributable to owners of the parent was THB 380,501,768 or THB 0.194 per basic share compared to profit of THB 9,733,583 or THB 0.005 per basic share a year ago. For the quarter, on separate basis, the company reported revenue from construction contracts of THB 7,380,514 compared to THB 3,759,823 a year ago. Loss before income tax expenses was THB 74,459,592 compared to THB 4,166,937 a year ago. Loss attributable to owners of the parent was THB 74,459,592 or THB 0.038 per basic share compared to THB 4,166,937 or THB 0.002 per basic share a year ago. For the six months, on consolidated basis, the company reported revenue from construction contracts of THB 125,451,995 compared to THB 633,688,041 a year ago. Loss before income tax expenses was THB 465,161,291 compared to profit of THB 49,921,790 a year ago. Loss attributable to owners of the parent was THB 465,161,184 or THB 0.237 per basic share compared to profit of THB 47,660,600 or THB 0.024 per basic share a year ago. Cash flows used in operating activities was THB 6,145,125 compared to THB 71,695,729 a year ago. Cash paid for purchase of fixed assets and intangible assets was THB 9,626,737 compared to THB 6,151,393 a year ago. For the six months, on separate basis, the company reported revenue from construction contracts of THB 19,525,171 compared to THB 14,160,000 a year ago. Loss before income tax expenses was THB 82,770,948 compared to profit of THB 28,883,788 a year ago. Loss attributable to owners of the parent was THB 82,770,948 or THB 0.042 per basic share compared to profit of THB 28,883,788 or THB 0.015 per basic share a year ago. Cash flows used in operating activities was THB 55,441,001 compared to THB 42,635,996 a year ago. Cash paid for purchase of fixed assets and intangible assets was THB 9,592,757 compared to THB 475,689 a year ago.