INTERIM FINANCIAL STATEMENTS - KEGALLE PLANTATIONS PLC

STATEMENT OF FINANCIAL POSITION

Group

Company

Year Ended

Year Ended

2022

31 March

2022

31 March

As at 30 September

2022

2022

Rs. '000

Rs. '000

Rs. '000

Rs. '000

ASSETS

Non - Current Assets

Leasehold property, plant and equipment

481,399

488,108

481,399

488,108

Freehold property, plant and equipment

730,873

628,467

714,899

610,681

Bearer biological assets

3,062,637

2,952,415

3,062,637

2,952,415

Consumable biological assets

190,705

190,705

190,705

190,705

Financial Assets

199,080

199,080

199,080

199,080

Long term investments

2,089,824

1,935,038

491,850

491,850

6,754,517

6,393,812

5,140,569

4,932,838

Current Assets

Produce on bearer biological assets

7,784

7,784

7,784

7,784

Inventories

918,779

445,466

918,665

445,352

Trade and other receivables

990,350

455,788

987,942

454,166

VAT recoverable

21,066

21,066

21,066

21,066

ESC Recoverable

4,423

8,846

4,423

8,846

Income tax recoverable

16,131

15,254

16,131

15,254

Amounts due from related Companies

25,492

11,681

51,946

38,509

Short term investment

423,252

776,496

423,252

776,496

Cash and bank balances

32,322

15,841

32,322

15,841

2,439,599

1,758,221

2,463,531

1,783,313

Total Assets

9,194,117

8,152,032

7,604,100

6,716,151

EQUITY & LIABILITIES

Capital & Reserves

Stated capital (Note 1)

250,000

250,000

250,000

250,000

General reserve

225,000

225,000

225,000

225,000

Timber reserve

49,815

49,815

49,815

49,815

Fair Value Through Other Comprehensive Income Reserve

48,588

48,588

48,600

48,600

Retained profit

5,182,800

4,142,379

3,602,793

2,716,421

Shareholders' Fund

5,756,203

4,715,782

4,176,208

3,289,836

Non - Current Liabilities

Loans & borrowings

666,656

804,160

666,656

804,160

Retirement benefit obligations

462,773

443,213

462,773

443,213

Deferred income

216,846

211,001

216,846

211,001

Deferred tax liability

247,402

247,402

247,402

247,402

Liability to make lease payment after one year

501,233

504,396

501,233

504,399

2,094,910

2,210,172

2,094,910

2,210,174

Current Liabilities

Loans & borrowings

482,964

441,548

482,964

441,548

Liability to make lease payment within one year

6,304

6,304

6,304

6,304

Trade and other payables

508,089

363,931

503,187

359,114

Dividend payable

37,467

162,553

37,467

162,553

Amounts due to related Companies

308,179

251,740

303,060

246,621

1,343,003

1,226,078

1,332,982

1,216,141

Total Equity & Liabilities

9,194,117

8,152,032

7,604,100

6,716,151

Net Asset Value per Share (Rs.)

230.25

188.63

167.05

131.59

The above figures are subject to audit

These Financial Statements are in compliance with the requirements of the Companies Act No. 07 of 2007.

Ajith Ranasinghe

Acting Financial Controller

The Board of Directors is responsible for these Financial Statements.

Approved and signed for and on behalf of the Board of Directors of Kegalle Plantations PLC.

Dr. S S B D G Jayawardena

Mr. J L A Fernando

Director

Director

Colombo

14 November 2022

Kegalle Plantations PLC

2022/23 - Q2

INTERIM FINANCIAL STATEMENTS - KEGALLE PLANTATIONS PLC

STATEMENT OF PROFIT OR LOSS

Group

For the six months ended 30 September

Quarter Ended

Six Months Ended

Year Ended

2021

Variance

Variance

31 March

2022

2022

2021

+ / (-)

+ / (-)

2022

Rs. '000

Rs. '000

%

Rs. '000

Rs. '000

%

Rs. '000

Revenue

1,681,010

1,019,040

65

3,079,505

1,877,318

64

3,627,751

Cost of sales

(1,244,441)

(858,893)

(45)

(2,228,656)

(1,624,052)

(37)

(3,095,130)

Gross profit

436,569

160,147

173

850,849

253,266

236

532,621

Gain/(Loss) on fair value of biological assets

-

-

-

-

-

-

15,621

Other income

25,754

25,983

(1)

50,353

48,590

4

92,566

Administrative expenses

(16,227)

(13,550)

(20)

(29,719)

(26,224)

(13)

(60,140)

Management fee

(69,660)

(28,205)

(147)

(136,263)

(46,109)

(196)

(94,629)

Profit/(loss) from operations

376,435

144,375

161

735,220

229,523

220

486,040

Finance income

100,119

5,644

1,674

272,318

15,588

1,647

181,044

Finance cost

(89,607)

(27,624)

(224)

(117,481)

(54,342)

(116)

(103,562)

Net finance income/(loss)

10,512

(21,980)

148

154,838

(38,755)

500

77,482

Share of result of associates

32,493

57,925

(44)

216,546

104,572

107

396,156

Profit before taxation

419,441

180,320

133

1,106,604

295,340

275

959,678

Tax (expenses) / reversal

(5,892)

(21,184)

72

(32,780)

(29,092)

(80)

(163,099)

Profit for the period

413,549

159,136

160

1,073,825

266,248

303

796,579

Basic earnings per share (Rs.)

16.54

6.37

42.95

10.65

31.86

Dividend per share (Rs.)

-

-

-

-

-

Company

For the six months ended 30 September

Quarter Ended

Six Months Ended

Year Ended

Variance

Variance

31 March

2022

2021

2022

2021

+ / (-)

+ / (-)

2022

Rs. '000

Rs. '000

%

Rs. '000

Rs. '000

%

Rs. '000

Revenue

1,681,010

1,019,040

65

3,079,505

1,877,318

64

3,627,751

Cost of sales

(1,244,441)

(858,893)

(45)

(2,228,656)

(1,624,052)

(37)

(3,095,130)

Gross profit

436,569

160,147

173

850,849

253,266

236

532,621

Gain/(Loss) on fair value of biological assets

-

-

-

-

-

-

15,621

Other income

25,164

25,422

(1)

49,193

47,398

4

90,251

Administrative expenses

(15,279)

(12,763)

(20)

(27,822)

(24,648)

(13)

(56,376)

Management fee

(69,660)

(28,205)

(147)

(136,263)

(46,109)

(196)

(94,629)

Profit/(loss) from operations

376,794

144,601

161

735,957

229,907

220

487,489

Finance income

100,119

5,644

1,674

272,318

15,588

1,647

181,044

Finance cost

(89,607)

(27,624)

(224)

(117,481)

(54,342)

(116)

(103,562)

Net finance income/(loss)

10,512

(21,980)

148

154,838

(38,755)

500

77,482

Share of result of associates

-

-

-

-

-

-

-

Profit/(loss) before taxation

387,306

122,622

216

890,795

191,152

366

564,971

Tax (expenses) / reversal

(2,211)

(3,064)

28

(4,423)

(6,127)

(28)

(87,068)

Profit/(loss) for the period

385,095

119,558

222

886,372

185,025

379

477,903

Basic earnings/(loss) per share (Rs.)

15.40

4.78

35.45

7.40

19.12

Dividend per share (Rs.)

-

-

-

-

5.00

Figures in brackets indicate deductions

The above figures are subject to audit

Kegalle Plantations PLC

2022/23 - Q2

INTERIM FINANCIAL STATEMENTS - KEGALLE PLANTATIONS PLC

STATEMENT OF COMPREHENSIVE INCOME

Group

For the six months ended 30 September

Quarter Ended

Six Months Ended

Year Ended

2022

2021

Variance

2022

2021

Variance

31 March

+ / (-)

+ / (-)

2022

Rs. '000

Rs. '000

%

Rs. '000

Rs. '000

%

Rs. '000

Profit for the period

413,549

159,136

160

1,073,825

266,248

303

796,579

Other Comprehensive Income

Other Comprehensive income not to be reclassified to profit or loss in

Subsequent periods (net of tax)

Actuarial Gain/(Loss) on Defined Benefit Plans

Income tax effect

Other Comprehensive income not to be reclassified to profit or loss in Subsequent periods

Share of Other Comprehensive Income of Equity Accounted Investees

Other Comprehensive income not to be reclassified to profit or loss in Subsequent periods (net of tax)

Actuarial Gain/(Loss) on Defined Benefit Plans

Income tax effect

Net Gain/(Loss) on FVTOCI financial assets

Income tax effect

Other Comprehensive income not to be reclassified to profit or loss in Subsequent periods

Other Comprehensive income to be reclassified to profit or loss in Subsequent periods (net of tax)

Other Comprehensive Income/(Loss) for the period, net of tax

Total Comprehensive Income for the period, net of tax

-

-

-

-

-

-

12,501

-

-

-

-

-

-

(1,750)

-

-

-

-

-

-

10,751

-

-

-

-

-

-

(3,336)

-

-

-

-

-

-

467

-

-

-

-

-

-

(2,869)

7,757

-

(100)

(33,404)

-

(100)

3,700

-

-

-

-

-

-

(3,204)

7,757

-

(100)

(33,404)

-

(100)

496

7,757

-

(100)

(33,404)

-

(100)

(2,374)

-

-

-

-

-

-

-

7,757

-

(100)

(33,404)

-

(100)

8,377

421,306

159,136

165

1,040,421

266,248

291

804,956

Company

For the six months ended 30 September

Quarter Ended

Six Months Ended

Year Ended

2022

2021

Variance

2022

2021

Variance

31 March

+ / (-)

+ / (-)

2022

Rs. '000

Rs. '000

%

Rs. '000

Rs. '000

%

Rs. '000

Profit for the period

385,095

119,558

222

886,372

185,025

379

477,903

Other Comprehensive Income

Other Comprehensive income not to be reclassified to profit or loss in

Subsequent periods (net of tax)

Actuarial Gain/(Loss) on Defined Benefit Plans

Income tax effect

Other Comprehensive income not to be reclassified to profit or loss in Subsequent periods

Share of Other Comprehensive Income of Equity Accounted Investees

Other Comprehensive income not to be reclassified to profit or loss in Subsequent periods (net of tax)

Actuarial Gain/(Loss) on Defined Benefit Plans

Income tax effect

Net Gain/(Loss) on FVTOCI financial assets

Income tax effect

Other Comprehensive income not to be reclassified to profit or loss in Subsequent periods

Other Comprehensive income to be reclassified to profit or loss in Subsequent periods (net of tax)

Other Comprehensive Income/(Loss) for the period, net of tax

Total Comprehensive Income for the period, net of tax

-

-

-

-

-

-

12,501

-

-

-

-

-

-

(1,750)

-

-

-

-

-

-

10,751

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

32,040

-

-

-

-

-

-

(3,204)

-

-

-

-

-

-

28,836

-

-

-

-

-

-

28,836

-

-

-

-

-

-

-

-

-

-

-

-

-

39,587

385,095

119,558

222

886,372

185,025

379

517,490

Figures in brackets indicate deductions

The above figures are subject to audit

Kegalle Plantations PLC

2022/23 - Q2

INTERIM FINANCIAL STATEMENTS - KEGALLE PLANTATIONS PLC

STATEMENT OF CHANGES IN EQUITY

Group

For the six months ended 30 September

Stated

General

Timber

FVTOCI

Retained

Total

Capital

Reserve

Reserve

Reserve

Profit

Rs. '000

Rs. '000

Rs. '000

Rs. '000

Rs. '000

Rs. '000

Balance as at 31 March 2021

250,000

225,000

35,583

48,588

3,477,533

4,036,704

Prior period adjustment for Surcharge Tax

-

-

-

-

(877)

(877)

Profit for the Period

-

-

-

-

266,248

266,248

Other Comprehensive Income

-

-

-

-

-

-

Timber Reserve

-

-

-

-

-

-

Dividend Paid

-

-

-

-

-

-

Balance as at 30 September 2021

250,000

225,000

35,583

48,588

3,742,904

4,302,076

Balance as at 31 March 2022

250,000

225,000

49,815

48,588

4,142,379

4,715,782

Profit for the Period

-

-

-

-

1,073,825

1,073,825

Other Comprehensive Income

-

-

-

-

(33,404)

(33,404)

Timber Reserve

-

-

-

-

-

-

Dividend Paid

-

-

-

-

-

-

Balance as at 30 September 2022

250,000

225,000

49,815

48,588

5,182,800

5,756,203

Company

For the six months ended 30 September

Stated

General

Timber

FVTOCI

Retained

Total

Capital

Reserve

Reserve

Reserve

Profit

Rs. '000

Rs. '000

Rs. '000

Rs. '000

Rs. '000

Rs. '000

Balance as at 31 March 2021

250,000

225,000

35,583

48,600

2,339,040

2,898,223

Prior period adjustment for Surcharge Tax

-

-

-

-

(877)

(877)

Profit for the Period

-

-

-

-

185,025

185,025

Other Comprehensive Income

-

-

-

-

-

-

Timber Reserve

-

-

-

-

-

-

Dividend Paid

-

-

-

-

-

-

Balance as at 30 September 2021

250,000

225,000

35,583

48,600

2,523,188

3,082,371

Balance as at 31 March 2022

250,000

225,000

49,815

48,600

2,716,421

3,289,836

Profit/(Loss) for the Period

-

-

-

-

886,372

886,372

Other Comprehensive Income

-

-

-

-

-

-

Timber Reserve

-

-

-

-

-

-

Dividend Paid

-

-

-

-

-

-

Balance as at 30 September 2022

250,000

225,000

49,815

48,600

3,602,793

4,176,208

The above figures are subject to audit

Kegalle Plantations PLC

2022/23 - Q2

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Kegalle Plantations plc published this content on 14 November 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 14 November 2022 10:51:01 UTC.