Hafiz LimitedPSX: HAFL

Financial results for 3rd quarter ended 31-03-2025

· Issued by Hafiz Limited


The General Manager,

PAKISTAN STOCK EXCHANGE LIMITED

Stock Exchange Building, Stock Exchange Road, Karachi-74000.

28th April, 2025.

Sub: FINANCIAL RESULTS FOR THE NINE I•1ONTH ENDED 31•t March, 2025.

Dear Sir,

We have to inform you that the Board of Directors of our company in their meeting held on 28" April, 2025 at 11:30 a.m. at the registered office of the company i.e. 97, Alliance Building, 2nd Floor, Moolji Street, Mereweather Tower, Karachi, recommended the

following:

  1. CASH DIVIDEND

  2. BONUS SHARES

    NIL NIL

  3. RIGHT SHARES NIL

The Quarterly financial statements of the company are enclosed as annexure A to D

The Quarterly Report of the Company for the period ended 31st March, 2025 will be transmitted through PUCARS separately, within the specified time.

Yours faithfully,

For HAFIZ LII'ñITED

Quamruddi



Head Office:

97, Alliance Budding. 2nd Hoor. Moolji 5treet.

Opp. Hereweather Tower, Karachi-74000.

Tel: 021-32440371. 021-3Z432896

Fax- +92-21-32440372

Email: hm t95t @hotmaLcom

info@hafiMm.com

Website: https://www.hafiztm.com

Mills Address:

D-9. S LT E., Manqhopir Road.

Karachi.

Tet: 02t -32567863.



bIM/TED

5TATEf4EMT OF PROFZY AND LOES ACCOUNT AND OTHER gOMPREHENSEVE INCOME (UN-AUDITED}

FOR YHE NZNE NONTNS ENDED IARCH 51, 2OZ5

PARTICULARS

°ta

For the 3rd Quarter ended

For the Nine Piomhs endad

nara 31,

2025.

ru‹a› s1,

2OZd.



f4arch 3t,

3025.

march 31,

Zo24.



Rental Income

10,15O,gZ5

8,807,763

29,908,3O6

2S,581,52B

Admlnlsbatlve expenditure

Flnanclal charges

(3,936,27S}

(3,530,498)

{12,7S3,?55}



(11,288,799)

(13,267)



(3 BS6t307)

(3,530,498)

(1Z,773 O24)

(11,302,066)

Other Incomes / (Loss)

9

(4,173,915)

257,952

1Z,ZS7,367

8,295,883



Z,040,573

5,535,217

29,39Z,547

22,575,345

Taxation

(1,4SZ,M61)

(1,864,330)

(5m71Z,t40)

(5,•f82,6R)



012

3,670,888

23,6SO, 0?

17,092,741

Other comprehensive income/

(bss) fbr the nine months.

Earnings Per share - Bask and

diluted

0.47



19.73

14.24



Head Office:

97, Alliance Building. 2nd Floor. Mooljl Street,

Opp Mereweather Tower, Karachi-74000.

Tel: 021-32440371, 021-32432896

Fax: +92-21-22440372

Email: htm l95l$hotmail com

info@hafiztm.com Website: https://www.hafiztm.com

Mills Address:

D-9, S.I.T.E., Manqhopir Road, Karachi.

Tel: 0Z1-32567863.



STATE IENT OF FENANCZAL POSETZON {UN-AUDITED) AS AT PfARCH 3¥, 2025

Annexure B

(Un-audited)

(Audited)

hate

I arch31,

2025

3une30,

1024

ASsETS

Ron-current ascets

---------(Rupees)--------

Property, plant and equipment

5

5,278,106

5,287,038

Investment propert:y

6

56Z,O37,201

562,037,201

Long-term investments- quoted

1

1



567,315,306

567,324,240

Current aceets

Short-term investments

19,596,204

Stores and spares

Trade debts

Trade deposits and advances

764,605

228,225

Taxation - Net

6,294,572

4,209,490

Cash and bank balances

18 316,153

13,959,687

60,696,585

37,988,606

Net assets In Bangladesh



Total assats

618,011.69A



605,312,847

EQUITIES AND MABEMTZES

Capital and Reserves

Authorized

2,000,000 (2024: 2,000,000) ordinary shares of Rs.10/- each

ZO,O0O,O00

20,000,000

Issued, subscribed and paid-up

1,200,000 (2024: 1,200,000) ordlnary shares of Rs.10/- each

1Z,0O0,OO0

12,000,000

Reserves

599,4g7,605

578,817,198

6 fi1,497,605

590,817,198

Non Current LlabiliNes

Deferred Ilabillties

Current Liabilities

Trade and other payable

zo,ssa,a<>

9,420,528

Unclaimed dividend

5,570,910

5,075,121

16,514,269

14,495,649

Condngencles and commitments

8

Total equity and liablllbes

628,011,894

605,312,847

97. Alliance Brtilding. 2nd floor. Moolji Street.

U|ay Mereweather Tower. Karachi 740fJ0.

32432806

infu@hafiztm.com

Website: www hafiztnJ.cot11

D-9. S I T F. Mangl npii R‹aad.

ksf a cial €¥'flcer

Office:

Email: htmUS T éhotmaiI.com

Mills Address:



Kard‹-lii

Tel: 021 325G7663

Fax. - 2432440372



SIMITSD

ETATEf'tEMT OF CHANGES IN E§UITT tUN-AUDM"ED)

Interest

Revaluation

comprahanalv

Tetal aqulty

12,000,000

117,190,747

S6,6H,905

371,7S2,394

(H2,401)

H5,235,645

5S7,23S,64S

Net prol4t eRer

tax f0r NINE

months ended

17,092,74a

17,092,741

17,092,741

(July, 2023 to

Narch. 20241.

FJnd dMdend for

the year ended

June 30, 20Z3 @

(2,400,000)

(¥?O0,000)

(2,AD,000)

Rs.2/- per share

I.e. 2096.

3

12,00g,000 13y,883,488 56,634,905 37t,752,394 (342,401) S59,92B,386 5?1,928,38G

FOR TNE N2NE NOMYHS ENDED NARCH 3:L, ZOM







'

Balance •s at

3ulv 9t, 20d tax for NIN5



(July, 3034 to Mazeh. 3oM1. Rnal dMdend

nclnnoo at ct







12,000,000 171,d53r70? 56,A34,S05 371,75A3S4 (Z4 1) 590A97,605 613,497,005



I-lead Office:

97. Alliance Building. 2nd Floor, Moolji Streel. OJap Mcreweather Tower, Karachi 74000. 3'ei: (12 1-32440.37 1, 021-32432896

Fax: +92-2 -32440372

Email: htm J95lBhotmail com

info ha(iztm com

Website: https://www.I1afizfns.con

Nills Address:

D-9. S.I.T.E.. Manghopir Road,

Karachi.

Tel: 021 325676G5.



HAFIS



STATEPIENT OF CASH FLOWS

{UN•AUDITED}

FORT¥IE NINE IOMYHS ENDED MARCH 31, 2O2g

Annexure D



CASH FLOW FROPI OPERATING ACT¥VZTIES



Deprecbtlon

Unrealized loss on short term lwestment- quoted shares

Provision for graNlty Other Income / (Loss) Financial charges

Operating profit before working capital changes

(fnOeafie)ydeciease In Current Assets Loans and Advances

7ncrease/(déaeese) In Current Liabilities Trade and other payable

Gash generated from operations

Taxes

Gratuity paid

Rnandal charges

Net cash Inflow from operaMng •cdvIbes

CASH FLOW FROM INVSSTENG ACTIVZTIEg

Capftal expenditure

Sale proceeds from dlsposal of fixed assets Investment In properties & shares

Proceeds from sale of short term Investment - quoted shares DNldend recelYed

Net cash used In Invesfing acbvitles

29,592,547 22,575,345

68B,127

665,701

(9,211,006)

19,2G9

('711,94G}

L3,1G7



17,8J2t676 14,958,430





1,512,821 (1,314,366}

1a,szs,‹17 1»,s7e,s2s

(7,6OZ,241) (9,517,0Sd)

(992,320)

(19,269J (13,267J

11,ooz,soz 7,o4›,e4s

- 1,Z00,000 (19t41S 0Zfi) (4 O07 ZS8)

1Og,D00

56Z,5OO



(4,146,961) (4,404,064)

MmdofKce:

97. Alliance Building, 2nd Floor. Moolji StreeL

C)pp. Mereweather Tower, Karachi-74000.

Tel: 02I -32440371. 021-32432896

+92-21-32440372

Email: htm t95 hotmail.con

info&hafiztrn con Website: https://www.hafittm.con

MIis Address:

D-9, S.i.T.E., Manghopir Road, Karachi.

Tel: 021-325678f›3,

CASH FLOW FROM FINANCING ACTIVITIES

Divir1enh pain

2 4 180)

(

99 052)

Net cash used in financing actiVities

(2,504,180)

(1,999,0S2)

Net increase in cash and bank balances

4,356,466

644,828

Cash and bank balances at beginning of the year

13,959,687

9,621,137

Cash and bank balances at end of the year

18,316,153

10,265,965





ChefExecutveONkc Chief hnancial Officer