KTech Construction Public Company Limited reported unaudited consolidated and separate earnings results for the second quarter and six months ended June 30, 2017. For the quarter, on consolidated basis, the company reported net profit attributable to owners of the parent of THB 9,733,583 or THB 0.025 per basic and diluted share compared to net loss of THB 55,927,330 or THB 0.014 per basic and diluted share for the last year. Revenue from construction contracts was THB 309,375,087 compared to THB 134,832,254 a year ago. Profit before income tax expenses was THB 11,651,928 compared to loss before tax of THB 55,927,357 a year ago. For the quarter, on separate basis, the company reported net loss attributable to owners of the parent THB 4,166,937 or THB 0.001 per basic and diluted share compared to THB 9,137,097 or THB 0.002 per diluted share for the last year. Loss before income tax expenses was THB 4,166,937 compared to THB 9,137,097 a year ago. Revenue from construction contracts was THB 3,759,823. For the six months, on consolidated basis, the company reported net profit attributable to owners of the parent of THB 47,660,600 or THB 0.0121 per basic and diluted share compared to net loss of THB 101,940,259 or THB 0.0261 per basic and diluted share for the last year. Revenue from construction contracts was THB 633,688,041 compared to THB 412,067,363 a year ago. Profit before income tax expenses was THB 49,921,790 compared to loss before tax of THB 101,940,401 a year ago. Net cash used in operating activities was THB 71,695,729 compared to THB 295,672,886 a year ago. Cash paid for purchase of fixed assets and intangible assets was THB 6,151,393 against THB 2,117,553 a year ago. For the six months, on separate basis, the company reported net profit attributable to owners of the parent THB 28,883,788 or THB 0.0074 per basic and diluted share compared to net loss of THB 665,380 or THB 0.0002 per diluted share for the last year. Profit before income tax expenses was THB 28,883,788 compared to loss before income tax of THB 665,380 a year ago. Net cash used in operating activities was THB 42,635,996 compared to THB 60,284,704 a year ago. Cash paid for purchase of fixed assets and intangible assets was THB 475,689 against THB 1,023,995 a year ago. Revenue from construction contracts was THB 14,160,000.