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Printed on 27 November 2022 05:10

Company Profile NR INSTANT PRODUCE PUBLIC COMPANY LIMITED

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NR INSTANT PRODUCE PUBLIC COMPANY LIMITED

Sustainability Development Ranking
CG Score 1/
CG Score
AGM Level 2/
AGM Score
Thai-CAC 3/
Thai CAC 3/
Declared
Thailand Sustainability Investment 4/
Thailand Sustainability Investment
THSI (SET)
Business 4/
Business
NRF is a manufacturer, supplier and distributor of seasonings, ready-to-eat meal kits, recipe mixes, plant-based foods, instant beverages and water.
ManagementPosition
1.Mrs. KESARA MANCHUSREECHAIRMAN OF BOARD / INDEPENDENT DIRECTOR
2.Mr. DAN PATHOMVANICHCEO / DIRECTOR
3.Mr. TEERAPONG LORRATCHAWEEMANAGING DIRECTOR / DIRECTOR
4.Miss PENHURAI CHAICHATCHAVALDIRECTOR
5.Mr. TAI-CHUAN LINDIRECTOR
6.Mr. YEO KOK TONGINDEPENDENT DIRECTOR / CHAIRMAN OF THE AUDIT COMMITTEE
7.Mr. UDOMKARN UDOMSABINDEPENDENT DIRECTOR / AUDIT COMMITTEE
8.Mr. DHAS UDOMDHAMMABHAKDIINDEPENDENT DIRECTOR / AUDIT COMMITTEE
Company Profile 4/
Field nameDetail
AddressNo. 99/1 Moo 4, Kaerai, Krathumbaen Samut Sakhon74110
Phone0-3484-9576-80
Fax0-3484-9586
URLhttps://www.nrinstant.com/
Contact Person
ContactContact Name
ฝ่ายผู้ลงทุนสัมพันธ์-
เลขานุการบริษัทบริษัท  อินเครดิเบิ้ล  เรสโซลูท  จำกัด  โดย  น.ส.บุณฑริกา  บุญคำ
ข้อมูลผลิตภัณฑ์
Financial Statements (Concise Version) 5/
Statement of Comprehensive Income (MB.)9M/2022 
(01/01/22 
-30/09/22) 
9M/2021 
(01/01/21 
-30/09/21) 
2021 
(01/01/21 
-31/12/21) 
2020 
(01/01/20 
-31/12/20) 
2019 
(01/01/19 
-31/12/19) 
Accounting TypeConsolidateConsolidateConsolidateConsolidateConsolidate
Revenue From Operations1,728.981,435.712,100.031,408.351,111.05
Other Income53.4448.7675.2029.658.60
Total Revenues1,802.771,489.802,183.151,444.021,119.66
Costs946.04898.711,283.53974.17783.91
Selling And Administrative Expenses659.28393.69632.17256.69217.89
Total Cost And Expenses1,605.321,292.391,915.701,231.741,001.80
EBITDA470.97263.44513.61287.12191.60
Depre. & Amor.130.9886.92156.5389.7679.81
EBIT339.99176.52357.08197.36111.80
Net Profit : Owners Of The Parent246.7285.61220.78124.3940.75
EPS (B.)0.170.060.160.110.04
Statement of Cash Flow (MB.)9M/2022 
(01/01/22 
-30/09/22) 
9M/2021 
(01/01/21 
-30/09/21) 
2021 
(01/01/21 
-31/12/21) 
2020 
(01/01/20 
-31/12/20) 
2019 
(01/01/19 
-31/12/19) 
Accounting TypeConsolidateConsolidateConsolidateConsolidateConsolidate
Operating Cash Flow89.52207.49154.34118.55153.31
Investing Cash Flow-792.68-736.20-975.05-468.81-141.31
Financing Cash Flow602.97772.43867.97432.3584.27
Net Cash Flow-100.20243.7347.2682.0996.27
Statement of Financial Position (MB.)9M/2022 
(01/01/22 
-30/09/22) 
9M/2021 
(01/01/21 
-30/09/21) 
2021 
(01/01/21 
-31/12/21) 
2020 
(01/01/20 
-31/12/20) 
2019 
(01/01/19 
-31/12/19) 
Accounting TypeConsolidateConsolidateConsolidateConsolidateConsolidate
Cash And Cash Equivalents219.47514.03309.47224.36142.27
A/R Net857.64370.65498.34284.37194.46
Inventories241.05228.77196.89188.0885.06
Current Assets1,760.091,335.931,281.65721.57432.08
PP&E Net807.30577.35587.23626.09375.26
Non-Current Assets3,820.343,276.713,380.642,636.802,163.72
Total Assets5,580.424,612.644,662.283,358.372,595.81
OD632.6535.60140.00143.4890.00
A/P Net289.75479.20314.62202.14126.07
Current portion of LT848.2833.0636.2662.94255.06
Current Liabilities1,934.50581.61566.97449.11483.18
Non-Current Liabilities504.441,259.961,242.23334.80939.78
Total Liabilities2,438.941,841.571,809.20783.911,422.97
Authorized Capital1,485.441,485.441,485.441,421.041,421.04
Paid-Up Capital1,417.651,410.011,417.651,355.781,065.78
Premium (Discount) on Share Capital1,224.821,165.191,224.821,165.19155.75
Retained Earnings (Deficit)682.08413.01548.19357.40242.10
Treasury Stock-----
Shares Of The Company Held By Subsidiaries-----
Other Components Of Equity-246.55-254.80-375.34-303.91-290.79
 - Surplus (Deficits)-290.79-290.79-290.79-290.79-290.79
Shareholders' Equity3,078.002,733.422,815.322,574.471,172.84
Minority Interest63.4837.6537.76--
Accumulated: Turnover Ratio, Value Trade/Day
StatisticsYTD
25 Nov 2022
2021
30 Dec 2021
2020
30 Dec 2020
Listed share (M.)1,417.65 1,417.65 1,355.78 
Market Cap (MB.)9,569.17 11,341.23 8,405.84 
Price (B./share)6.75 8.00 5.96 
BVPS (B./Share)2.17 1.94 N/A 
P/BV (X)3.11 4.15 
P/E (X)25.06 93.90 86.92 
Turnover Ratio (%)69.21 178.67 150.13 
Value Trade/Day (MB.)32.65 93.61 246.20 
Beta1.42 1.17 
 
Rate of ReturnYTD 2021 2020 
Price Change (%)-15.62 34.20 29.59 
Dividend Yield (%)0.61 0.05 N/A 
Payout Ratio0.15 0.05 
Dividend PolicyAt least 30.00% of net profit after deducting of legal reserves and other types of reserve (if any) (with additional conditions)

CG Score 2022 from Thai Institute of Directors Association (IOD)
AGM Level 2021 from Thai Investors Association
Companies participating in Thailand's Private Sector Collective Action Coalition Against Corruption programme (Thai CAC) under Thai Institute of Directors (as of July 7, 2022) are categorised into:
  • companies that have declared their intention to join CAC, and
  • companies certified by CAC.
The Stock Exchange of Thailand : the record of listed companies with corporate sustainable development "Thai sustainability Investment 2021" included:
  • SET and mai listed companies passed the assessment conducted by the Stock Exchange of Thailand: THSI (SET) and THSI (mai)
  • SET listed companies passed the assessment conducted by the Dow Jones Sustainability Indices (DJSI)
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Last updated on 26 November 2022