The Steel Public Company Limited reported unaudited consolidated and standalone earnings results for the second quarter and six months ended June 30, 2015. For the quarter, on consolidated basis, the company reported net profit of THB 43,569,000 or THB 0.109 per share against THB 62,710,000 or THB 0.157 per share a year ago. Revenue from sales and services was THB 4,393,849,000 against THB 5,392,160,000 a year ago. Profit before income tax was THB 72,417,000 compared to THB 74,248,000 a year ago. Profit for the period was THB 67,493,000 compared to THB 55,285,000 a year ago.

For the quarter, on standalone basis, the company reported net profit was THB 20,599,000 or THB 0.051 per share against THB 60,762,000 or THB 0.152 per share a year ago. Revenue from sales and services was THB 3,991,719,000 against THB 3,912,445,000 a year ago. Profit before income tax was THB 24,872,000 compared to THB 79,756,000 a year ago. Profit for the period was THB 20,599,000 compared to THB 60,762,000 a year ago.

For the six months, on consolidated basis, the company reported net loss was THB 52,814,000 or THB 0.132 per share against net profit of THB 75,474,000 or THB 0.189 per share a year ago. Profit before income tax was THB 1,739,000 compared to THB 77,199,000 a year ago. Profit for the period was THB 2,565,000 compared to THB 52,565,000 a year ago. Net cash flows used in operating activities were THB 159,598,000 compared to net cash flows from operating activities of THB 276,150,000 a year ago. Revenue from sales and services was THB 8,071,276,000 against THB 8,607,168,000 a year ago. Cash paid for purchase of fixed assets was THB 3,098,000 against THB 34,969,000 a year ago.

For the six months, on standalone basis, the company reported net loss was THB 124,207,000 or THB 0.311 per share against net profit of THB 64,757,000 or THB 0.162 per share a year ago. Loss before income tax was THB 126,622,000 compared to profit of THB 89,448,000 a year ago. Loss for the period was THB 124,207,000 compared to profit of THB 64,757,000 a year ago. Net cash flows used in operating activities were THB 462,422,000 compared to cash from operating activities of THB 17,592,000 a year ago. Revenue from sales and services was THB 7,110,665,000 against THB 5,759,363,000 a year ago. Cash paid for purchase of fixed assets was THB 1,159,000 against THB 13,649,000 a year ago.