CAPITAL ALLIANCE FINANCE PLC. INTERIM FINANCIAL STATEMENTS For the quarter ended 30th September 2015

Similar documents
INTERIM FINANCIAL STATEMENTS For the quarter ended 30th September 2016

SINGER INDUSTRIES (CEYLON) PLC

CEYLON TEA BROKERS PLC PB 1280 PQ INTERIM FINANCIAL STATEMENTS

CEYLON TEA BROKERS PLC PB 1280 PQ INTERIM FINANCIAL STATEMENTS

Sigiriya Village Hotels PLC

Interim Report. Third quarter, 9 months ended 31st December Hayleys Fabric PLC

INTERIM FINANCIAL STATEMENTS

UNAUDITED FINANCIAL STATEMENTS For the Period ended 31st March 2018

Sigiriya Village Hotels PLC

INTERIM FINANCIAL STATEMENTS FOR THE SIX MONTHS ENDED SEPTEMBER 30, LB Finance PLC

CEYLON TEA BROKERS PLC PB 1280 PQ INTERIM FINANCIAL STATEMENTS

INTERIM FINANCIAL STATEMENTS ASIA ASSET FINANCE PLC

AMW CAPITAL LEASING AND FINANCE PLC

Cargills Bank Limited Interim Financial Statement 2016

CITRUS LEISURE PLC Interim Financial Statements For the Quarter Ended 30th June 2018

Browns Investments. Browns Investments PLC Period ended 31st March 2018 Reg. No. PV 66136PB/PQ

INTERIM FINANCIAL STATEMENTS

C. W. MACKIE PLC INTERIM REPORT YEAR ENDED 31 ST MARCH 2014

THE LIGHTHOUSE HOTEL PLC Company Registration Number - PQ 73. INTERIM REPORT Fourth Quarter

LANKA ORIX LEASING COMPANY PLC INTERIM FINANCIAL STATEMENTS YEAR ENDED 31 MARCH 2018

Browns Investments. Browns Investments PLC Period ended 30th June 2018 Reg. No. PV 66136PB/PQ

CEYLON LEATHER PRODUCTS PLC INTERIM FINANCIAL STATEMENTS Six Months Ended 30 September 2017

LANKEM CEYLON PLC. Company No. PQ 128 INTERIM FINANCIAL STATEMENTS

INTERIM FINANCIAL STATEMENTS ASIA ASSET FINANCE PLC

INTERIM FINANCIAL STATEMENTS ASIA ASSET FINANCE PLC

DUNAMIS CAPITAL PLC. Provisional Financial Statements. For the quarter ended 30 June 2012 DUNAMIS CAPITAL PLC. Provisional Financial Statements

HAYLEYS FIBRE PLC INTERIM FINANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH

INTERIM FINANCIAL STATEMENTS

Interim Report. Fourth quarter, 12 months ended 31st March Hayleys Fabric PLC

INTERIM STATEMENT (UNAUDITED) For the Quarter Ended 30 th June 2017

HAYLEYS FIBRE PLC INTERIM FINANCIAL STATEMENTS FOR THE SIX MONTHS ENDED 30TH SEPTEMBER

SIYAPATHA FINANCE PLC INTERIM FINANCIAL STATEMENTS

C. W. MACKIE PLC INTERIM REPORT SIX MONTHS ENDED 30 TH SEPTEMBER 2013

Non controlling interest 167, , Total equity 2,143,614 2,014,349 1,038,847 1,100,545

Corporate Information

MULTI FINANCE PLC. 17 Charles Drive, Colombo 03. ( Company Registration No: PB 891 PQ ) Interim Financial Statements

THE LIGHTHOUSE HOTEL PLC Company Registration Number - PQ 73. INTERIM REPORT Third Quarter

SIGIRIYA VILLAGE HOTEL PLC INTERIM RESULTS FOR THE SIX MONTHS ENDED 30 TH SEPTEMBER /1, Sir Baron Jayatilaka Mawatha, Colombo - 1

Provisional financial statements

SIERRA CABLES PLC PQ 166 INTERIM FINANCIAL STATEMENTS FOR THE PERIOD ENDED 30TH SEPTEMBER 2016 (UNAUDITED)

Corporate Information

INTERIM FINANCIAL STATEMENTS ASIA ASSET FINANCE PLC

LANKA TILES PLC Provisional Financial Statements For the Nine months ended 31st December 2016

ADAM INVESTMENTS PLC AINV Q4 2016/17 INTERIM FINANCIAL STATEMENTS FOR THE 12 MONTHS ENDED 31 ST MARCH 2017

WASKADUWA BEACH RESORT PLC. Interim Financial Statements Year ended 31 March 2018

INTERIM FINANCIAL STATEMENTS. For The Nine Months Ended 31st December 2017

AMW CAPITAL LEASING AND FINANCE PLC

THE KINGSBURY PLC Company Registration PQ 203 No:48, Janadhipathi Mawatha Colombo-01. Interim Financial Statements

LB Finance PLC. A-PDF Merger DEMO : Purchase from to remove the watermark

SIGIRIYA VILLAGE HOTEL PLC INTERIM RESULTS FOR THE SIX MONTHS ENDED 30 TH SEPTEMBER /1, Sir Baron Jayatilaka Mawatha, Colombo - 1

FINANCIAL STATEMENTS For the Period Ended 31 March 2018

ACL CABLES PLC (PQ 102)

EDEN HOTEL LANKA PLC INTERIM FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 ST MARCH 2017

INTERIM FINANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH 2018

HARISCHANDRA MILLS PLC. INTERIM FINANCIAL STATEMENTS

LANKEM CEYLON PLC. Company No. PQ 128 INTERIM FINANCIAL STATEMENTS

KALAMAZOO SYSTEMS PLC Income Statements

Revenue 1,815,413,646 1,593,607,371 3,305,050,426 2,985,848,803. Cost of sales (1,034,138,590) (906,286,706) (1,797,022,384) (1,676,099,605)

SIERRA CABLES PLC PQ 166 INTERIM FINANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH 2018 (UNAUDITED)

INTERIM FINANCIAL STATEMENTS STATEMENT OF FINANCIAL POSITION

LANKA ORIX LEASING COMPANY PLC INTERIM FINANCIAL STATEMENTS NINE MONTH PERIOD ENDED 31 DECEMBER 2017

LANKEM CEYLON PLC. Company No. PQ 128 INTERIM FINANCIAL STATEMENTS

HAYLEYS FIBRE PLC INTERIM FINANCIAL STATEMENTS FOR THE NINE MONTHS ENDED 31ST DECEMBER

INTERIM FINANCIAL STATEMENTS SIX MONTHS ENDED 30TH SEPTEMBER 2017

HUNTER AND COMPANY PLC

UNAUDITED ACCOUNTS For the Period ended 31 December 2015

INTERIM FINANCIAL STATEMENTS For the Nine Months Period Ended 31st December 2016

THE KINGSBURY PLC Company Registration PQ 203 No:48, Janadhipathi Mawatha Colombo-01. Interim Financial Statements

NET ASSETS PER SHARE (RS.)

SOFTLOGIC HOLDINGS PLC

BAIRAHA FARMS PLC. FINANCIAL STATEMENTS

COMMERCIAL LEASING & FINANCE PLC PLC INTERIM FINANCIAL STATEMENTS

Group Unaudited Unaudited Unaudited Unaudited. Revenue 2,038,422,932 1,925,718,774 5,562,796,251 5,230,097,030

TALAWAKELLE TEA ESTATES PLC. Interim Financial Statements

LANKA TILES PLC Provisional Financial Statements For the Nine months ended 31st December 2017

COMMERCIAL LEASING & FINANCE PLC INTERIM FINANCIAL STATEMENTS FOR THE THREE MONTHS ENDED 30 JUNE 2015

COMMERCIAL LEASING & FINANCE PLC PLC INTERIM FINANCIAL STATEMENTS FOR THE THREE MONTHS ENDED 30 JUNE 2016

SINGER FINANCE (LANKA) PLC

VALLIBEL FINANCE PLC Income Statement Amounts in Rupees '000

LANKA TILES PLC Provisional Financial Statements For the Year ended 31st March 2018

NAMUNUKULA PLANTATIONS PLC. Company Reg. No. - PQ /17 INTERIM FINANCIAL STATEMENTS

HIKKADUWA BEACH RESORT PLC. Interim Financial Statements For the Year Ended 31 March 2017

HIKKADUWA BEACH RESORT PLC. Interim Financial Statements Six months ended 30 September 2017

Year ended

FINANCIAL STATEMENTS For the Period Ended 30 June 2017

MARAWILA RESORTS PLC

COMMERCIAL LEASING & FINANCE PLC INTERIM FINANCIAL STATEMENTS

COMMERCIAL LEASING & FINANCE PLC PLC INTERIM FINANCIAL STATEMENTS

BAIRAHA FARMS PLC. FINANCIAL STATEMENTS

PROPERTY DEVELOPMENT PLC INTERIM REPORT

ROYAL CERAMICS LANKA PLC

FINANCIAL STATEMENTS For the Period Ended 30 September 2016

INTERIM FINANCIAL STATEMENTS FOR THE SIX MONTHS ENDED 30TH SEPTEMBER 2017

AgStar PLC. Company Income Statement. Three months ended 30th June 31st March Change 2017 (Rs.Mns) Un Audited Un Audited Audited

LANKA TILES PLC Provisional Financial Statements For the Six months ended 30th September 2017

CHIEF EXECUTIVE OFFICER'S REVIEW

Dolphin Hotels PLC Quarter ended 30 September 2017

COMMERCIAL LEASING & FINANCE PLC PLC INTERIM FINANCIAL STATEMENTS

ROYAL CERAMICS LANKA PLC INTERIM FINANCIAL STATEMENTS FOR THE PERIOD ENDED 31ST MARCH 2010

LANKA ORIX LEASING COMPANY PLC INTERIM FINANCIAL STATEMENTS THREE MONTH PERIOD ENDED 30 JUNE 2017

Transcription:

INTERIM FINANCIAL STATEMENTS For the quarter ended 30th September 2015

Statement of Comprehensive Income For the period ended 30092015 For the Six month ended (Unaudited) Variance For the quarter ended (Unaudited) Variance 30Sep15 30Sep14 % 30Sep15 30Sep14 % Interest Income 80,653,339 93,080,767 (13) 39,686,520 44,842,918 (11) Interest Expense (35,635,444) (50,429,108) (29) (17,749,324) (22,795,952) (22) Net Interest Income 45,017,895 42,651,659 6 21,937,196 22,046,966 (0) Fee and commission income 1,567,475 1,134,632 38 807,324 854,767 (6) Fee and commission expenses (172,966) (361,898) (52) (45,180) (243,298) (81) Net fee and commission income 1,394,508 772,735 80 762,144 611,469 25 Net gains/(losses) from Trading 169,485 2,346,048 (93) 44,284 2,083,243 (98) Other operating income 5,100,343 7,988,210 (36) 1,858,410 5,073,583 (63) Impairment expenses for loans and advances and other losses (8,356,585) (18,127,457) (54) (3,847,993) (10,721,311) (64) Net operating income 43,325,646 35,631,194 22 20,754,041 19,093,951 9 Operating Expenses Personnel Cost (20,028,274) (18,668,524) 7 (11,060,151) (10,177,695) 9 Depreciation and amortization (2,097,034) (2,390,255) (12) (1,102,135) (1,211,506) (9) General and Administrative Expenses (16,194,086) (18,150,112) (11) (8,845,522) (9,628,646) (8) Operating profit before VAT on financial services and Income Tax 5,006,253 (3,577,696) 240 (253,768) (1,923,895) (87) Value added tax (VAT) on financial services (1,606,567) (561,623) 186 (815,000) (394,394) 107 Profit/(Loss) before Tax for the Period 3,399,686 (4,139,319) 182 (1,068,768) (2,318,290) (54) Income tax expenses 3,498,180 (100) 3,498,180 (100) Profit/(Loss) for the Period 3,399,686 (641,140) 630 (1,068,768) 1,179,890 (191) Other Comprehensive Income Revaluation surplus 3,500,000 (100) 3,500,000 (100) Actuarial gains/(losses) on defined benefit plans Total Comprehensive Income for the Period 3,399,686 2,858,860 19 (1,068,768) 4,679,890 (123) Earnings/(loss) per share (Annualized) 0.18 (0.03) (0.11) 0.12 Figures in brackets indicate deductions.

STATEMENT OF FINANCIAL POSITION AS AT 30.09.2015 30th September 31st March 2015 2015 (Unaudited) (Audited) ASSETS Cash and Cash Equivalents 38,054,155 14,744,068 Investment In Repurchase Agreement 45,208,940 57,373,525 Financial assets at fair value through profit or loss 2,244,447 2,074,962 Loans and receivablesleases 282,097,928 218,263,375 Loans and receivableshire purchase 158,424,302 224,214,791 Loans and receivablesother 552,585,275 501,140,091 Financial investments Availableforsale 345,775 345,775 Financial investments Held To Maturity 41,698,143 40,565,220 Property, Plant & Equipment 48,714,224 49,888,588 Other assets 28,699,091 27,479,744 Intangible assets 9,574,457 10,448,352 Deferred tax assets 5,063,014 4,478,232 Total Assets 1,212,709,751 1,151,016,723 LIABILITIES Due to customers 693,730,829 680,438,675 Other borrowings 163,469,066 104,990,538 Retirement Benefit Obligations 3,514,915 3,066,225 Trade & Other Payables 19,069,719 32,995,749 Total Liabilities 879,784,529 821,491,187 CAPITAL AND RESERVES Stated Capital 193,590,566 193,590,566 Statutory Reserve Fund 11,123,465 11,123,465 Retained Earnings 54,023,691 50,624,005 Other reserves 74,187,500 74,187,500 Total Capital and Reserves 332,925,222 329,525,536 Total Equity and Liabilities 1,212,709,751 1,151,016,723 Net Asset Per Share 8.59 8.50 Figures in brackets indicate deductions. It is certified that the financial statements have been prepared in compliance with the requirements of the Companies Act No. 07 of 2007.... K.M.U.Koswatta ManagerFinance (Sgd).. W.L.S Fonseka Chief Executive Officer (Sgd) The Board of Directors is responsible for the preparation of these Financial Statements. Approved and signed for on behalf of the Board:.... Director (Sgd) 14Oct15 Colombo.. Director (Sgd)

STATEMENT OF CHANGES IN EQUITY For the Period ended 30.09.2015 For the six month ended(unaudited) Stated Capital Retained Statutory Investment Revaluation General Total Earnings Reserve Fund Reserve Fund Reserve Reserve Balance as at 01st April 2015 (Closing balance) 193,590,566 50,624,005 11,123,465 14,187,500 60,000,000 329,525,536 Profit for the Period 3,399,686 3,399,686 Other comprehensive income Transferred to Investment Fund Transferred to Statutory Reserve Fund Balance as at 30th September 2015 (Closing balance) 193,590,566 54,023,691 11,123,465 14,187,500 60,000,000 332,925,222 Balance as at 01st April 2014 (Closing balance) 193,590,566 40,744,880 10,685,144 1,463,751 10,687,500 60,000,000 317,171,842 Profit for the period (641,140) (641,140) Other comprehensive income Transferred to Investment Fund Transferred to Statutory Reserve Fund Balance as at 30th September 2014 (Closing balance) 193,590,566 40,103,740 10,685,144 1,463,751 10,687,500 60,000,000 316,530,702

STATEMENT OF CASH FLOWS For the Period Ended 30.09.2015 September September For the six month period Ended 2015 2014 (Unaudited) (Unaudited) Cash Flow From Operating Activities Profit Before Income Tax 3,399,686 (641,140) Adjustment For, Depreciation 2,097,034 2,390,255 Profit on disposal of Property Plant & Equipment (4,847) Investment Income (2,785,292) (11,067,296) Provision for retirement benefits obligation 448,690 291,570 Net gain/(loss) from financial instruments at fair value through profit or loss (169,485) (2,346,048) Adjustment of non cash item 552,000 Impairment on loans and advances 8,356,585 18,127,457 Operating Profit Before Working Capital Changes 11,899,217 6,749,951 (Increase)/ Decrease in Loans and Advances (22,170,016) (70,494,585) (Increase) / Decrease in Margin Trading Receivable (35,675,818) (34,334,197) (Increase)/ Decrease in Inventories (2,569,505) 1,113,120 (Increase) / Decrease in Other Assets 1,350,157 (1,654,354) Increase / (Decrease) in deposits from Customers 13,292,154 108,143,276 Increase / (Decrease) in Trade and Other Liabilities (14,510,811) (27,983,046) Cash Generated from Operations (48,384,622) (18,459,836) Payment of retirement gratuity Income Tax Paid Net Cash Flows from Operating Activities (48,384,622) (18,459,836) Cash Flows from Investing Activities Acquisition of Property Plant & Equipment (600,776) (1,201,303) Disposal of Property Plant & Equipment 15,000 Investment in Treasury Bills (1,132,922) 13,170,647 Investment Income Received 2,785,292 11,067,296 Net investment in Government Security 12,164,585 29,074,443 Net investment in commercial Papers 143,996,877 Other Financial Assets 80,000,000 Net Cash Flows from Investing Activities 13,216,180 276,122,962 Cash Flows from Financing Activities Cash Received from Borrowings (243,585,521) Net Cash Flows from Financing Activities (243,585,521) Net Increase/(Decrease) in Cash and Cash Equivalents (35,168,442) 14,077,604 Cash and Cash Equivalents at the Beginning of the Period 14,744,068 24,562,713 Bank Overdraft at the Beginning of the period (104,990,538) Cash and cash equivalents at the end of the period (125,414,912) 38,640,317 Analysis of cash and cash equivalents at the end of the Period Cash and Bank Balances 38,054,155 38,640,317 Bank Overdraft (163,469,066) (125,414,912) 38,640,317 Figures in brackets indicate deductions.

FINANCIAL REPORTING BY SEGMENT For the Period ended 30.09.2015 FINANCIAL REPORTING BY SEGMENT For the six month ended 30th September Factoring,Cheque discounting Lease & Hire Purchase Loans & Advances Investments Margin Trading Unallocated Total and Revolving loan 2015 2014 2015 2014 2015 2014 2015 2014 2015 2014 2015 2014 2015 2014 External Operations Interest 39,145,373 47,344,326 9,538,369 12,396,774 2,697,777 13,300,948 9,046,345 10,425,129 20,225,475 11,959,639 80,653,339 95,426,815 Fee Base Income & Others 645,645 482,981 26,019 238,974 619,823 122,000 275,989 290,677 1,567,475 1,134,632 Capital gains Dividends 87,515 112,396 87,515 112,396 Other 2,980,648 4,595,699 328,250 304,870 169,485 1,703,929 2,975,244 5,182,313 7,875,814 Total Revenue 42,771,666 52,423,006 9,892,638 12,940,618 2,954,777 13,413,344 9,046,345 10,425,129 20,845,298 12,081,639 1,979,918 3,265,921 87,490,642 104,549,657 Profit before tax 3,399,686 (641,140) Taxation (expense)/reversal Profit after tax 3,399,686 (641,140) Other Information As at 30th September Segment assets 440,522,231 438,820,576 125,944,351 128,206,721 89,497,305 115,791,877 177,756,430 134,632,927 248,884,493 144,326,204 130,104,941 129,995,731 1,212,709,751 1,091,774,037 36% 40% 10% 12% 7% 11% 15% 12% 21% 13% 11% 12% 100% 100% Segment Liabilities 319,585,657 310,189,511 91,368,847 90,625,605 64,927,609 81,849,913 128,956,955 95,168,103 180,558,230 102,019,998 94,387,230 91,890,204 879,784,529 771,743,335

NOTES TO THE FINANCIAL STATEMENTS INFORMATION ON ORDINARY SHARES OF THE COMPANY Market Price Per Share Market Prices per ordinary share for the quarter ended 30th September 2015 were as follows; Highest Price 16.30 Lowest Price 13.70 Last Traded Price 13.90 SHAREHOLDERS' INFORMATION Twenty Largest Shareholders as at 30.09.2015 No of Shares % of Holding 1 Cargills Bank Limited 29,660,140 76.51% 2 Pan Asia Banking Corporation PLC/ Lankem Ceylon PLC 3,376,465 8.71% 3 Pan Asia Banking Corporation PLC/ Divasa Equity (Pvt) Ltd 1,119,053 2.89% 4 Seylan Bank PLC/ HVA Lanka Exports (Pvt) Ltd. 929,014 2.40% 5 Seylan Bank PLC/ Divasa Equity (Pvt) Ltd. 687,542 1.77% 6 South Asian Investment (Pvt) Ltd 307,061 0.79% 7 Mr. A R H Fernando 246,620 0.64% 8 Mrs. S G De Silva 181,210 0.47% 9 Mr De W A S P Saram 152,977 0.39% 10 Navara Capital Limited 75,000 0.19% 11 People's Leasing & Finance PLC/Mr M.A.U Gunathilake 71,808 0.19% 12 Mr Y J Perera 56,488 0.15% 13 Lankem Ceylon PLC 56,000 0.14% 14 Sampath Bank PLC/Mr D B N Samaratunge 52,342 0.14% 15 Mr M G A R Cooray 50,000 0.13% 16 Mr A N William 50,000 0.13% 17 Lankem Developments PLC 47,474 0.12% 18 Mrs P Reichberger 41,000 0.11% 19 First Capital Markets Ltd/Mr D B N Samaratunge 39,000 0.10% 20 First Capital Markets Ltd/Bimputh Finance PLC 38,000 0.10% 37,237,194 96.06% Others 1,528,842 3.94% Total 38,766,036 100.00%

NOTES TO THE FINANCIAL STATEMENTS Directors'/ CEO's Holding in Shares as at 30th September 2015 Mr. W.A.T.Fernando Mr.E.R.G.C.G. Hemachandra Mr. P.S. Mathavan Mr.E.M.M Boyagoda Mrs.S.M.G Dunuwille Mr.W.L.S Fonseka Public shareholding percentage was 14.78% and number of shareholders representing the public holding was 730 as at 30th Septmber 2015 EXPLANATORY NOTES 1 Events after the reporting period There have been no material events occurring after the balance sheet date that require adjustments to or disclosure in the Financial Statements. 2 There were no material contingent liabilities as at the reporting date which require adjustments to/ or disclosures in the Financial Statements. 3 The company has adopted the revaluation model for land with effect from quarter ended December 2013. 4 5 These Interim Financial Statements of the Company have been prepared based on the Sri Lanka Accounting Standards that came into effect from 01st April 2012 (SLFRS/LKAS). There were no changes to the Accounting Policies and methods of computation since the publication of the Audited Financial Statements for the year ended 31st March 2015 Further, these Interim Financial Statements have been prepared in compliance with the requirements of Sri Lanka Accounting Standard LKAS 34 on 'Interim Financial Reporting.