Printcare PlcCSELK: CARE.N0000

Quarterly Financial Statement as at 30/09/2024

· Issued by Printcare Plc

INTERIM CONDENSED

FINANCIAL STATEMENTS

Six Months Ended 30 September 2024

Corporate Information

Printcare PLC was incorporated as a Private Limited Liability Company on 3rd September 1979

Under the Companies' Ordinance NO. 51 of 1938.

It was converted to a Public Limited Liability Company on 21st October 1994.

Company Registration No : PQ 75

Tax payer Identification No : 104059317

BOARD OF DIRECTORS

Abbas Esufally- Chairman

K R Ravindran - Managing Director

Ejaz Chatoor

Dayasiri Warnakulasooriya

Ms. Anushya Coomaraswamy

Vajira Kulatilaka

Krishna Ravindran

Steven Mark Enderby

Malik J Fernando

Ms. Devika Weerasinghe - Appointed w.e.f. 27.09.2024

REGISTERED OFFICE

77, Nungamugoda Road, Kelaniya.

STOCK EXCHANGE LISTING

Colombo Stock Exchange

AUDITORS

Messrs. Ernst & Young

Chartered Accountants

109, Rotunda Towers, Colombo 03.

LAWYERS

D.L. & F De Saram

Attorneys-at-Law and Notaries Public

47,Alexandra Place, Colombo 07.

SECRETARIES

Managers & Secretaries (Pvt) Limited

8, Tickell Road, Colombo 08.

BANKERS

National Development Bank PLC

Commercial Bank of Ceylon PLC

Standard Chartered Bank

People's Bank

Nations Trust Bank PLC

Bank of Ceylon

Hatton National Bank PLC

Union Bank of Colombo PLC

Seylan Bank PLC

DFCC Bank PLC

Printcare PLC

Consolidated Income Statement

Group

Six Months

Six Months

Quarter

Quarter

Year

Note

ended

ended

Variance

ended

ended

Variance

ended

30.09.2024

30.09.2023

30.09.2024

30.09.2023

31.03.2024

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs. '000

Revenue

5,798,426

6,269,565

(471,139)

2,879,664

3,152,906

(273,242)

12,885,431

Cost of Sales

(4,664,942)

(4,992,209)

327,267

(2,358,172)

(2,508,502)

150,330

(10,025,864)

Gross Profit

1,133,484

1,277,356

(143,872)

521,492

644,404

(122,913)

2,859,567

Other Operating Income

11

383,732

184,266

199,466

58,477

126,010

(67,533)

152,209

Other Operating Expense

(44,766)

(535)

(44,231)

(44,762)

24,634

(69,396)

(9,925)

Distribution Costs

(201,566)

(212,364)

10,797

(93,497)

(76,697)

(16,800)

(362,144)

Administrative Expenses

(1,151,656)

(808,054)

(343,601)

(652,169)

(428,728)

(223,442)

(1,662,625)

Results from Operating Activities

119,227

440,668

(321,441)

(210,460)

289,624

(500,084)

977,083

Finance Income

57,213

14,833

42,380

28,345

7,502

20,842

24,422

Finance Costs

(323,230)

(244,680)

(78,550)

(202,642)

(106,290)

(96,352)

(465,811)

Profit/ (Loss) Before Tax

(146,791)

210,820

(357,611)

(384,757)

190,836

(575,594)

535,694

Income Tax (Expense)/Reversal

(116,393)

(122,142)

5,750

(19,159)

(52,678)

33,519

(312,779)

Profit/ (Loss) for the Period

(263,183)

88,678

(351,861)

(403,916)

138,158

(542,074)

222,915

Profit/ (Loss) Attributable to:

Equity Holders of the Parent

(165,171)

108,800

(273,971)

(266,450)

148,490

(414,940)

246,936

Minority Interests

(98,012)

(20,122)

(77,890)

(137,466)

(10,332)

(127,134)

(24,024)

(263,183)

88,678

(351,861)

(403,916)

138,158

(542,074)

222,915

Earnings Per Share - Basic

10

(1.92)

1.27

(3.10)

1.73

2.87

Dividends Per Share

1.00

3.50

-

-

4.50

The above figures are provisional and subject to audit.

Printcare PLC

Consolidated Statement of Comprehensive Income

Group

Six Months

Six Months

Quarter

Quarter

Year

Note

ended

ended

ended

ended

Ended

30.09.2024

30.09.2023

30.09.2024

30.09.2023

31.03.2024

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs. '000

Profit/ (Loss) for the Period

(263,183)

88,678

(403,916)

138,158

222,915

Other Comprehensive Income

Gains on Fair Value through Other Comprehensive Income Investments

26

812

(110)

665

592

Currency Translation of Foreign Operations

25,054

(4,949)

23,100

4,649

(20,246)

Actuarial Gains/(Losses)

-

-

-

-

34,018

Revaluation Gain

-

-

-

-

1,552,137

Deferred Tax Effect on actuarial gain

-

-

-

-

(10,226)

Deferred Tax Effect on capital gain on Land & Buildings

-

-

-

-

(421,791)

Other Comprehensive Income for the Year Net of Tax

(238,103)

84,541

(380,927)

143,473

1,357,399

Total Comprehensive Income Attributable to:

Equity Holders of the Parent

(145,676)

104,663

(249,046)

153,805

1,358,747

Minority Interests

(92,427)

(20,122)

(131,881)

(10,332)

(1,348)

(238,103)

84,541

(380,928)

143,473

1,357,399

The above figures are provisional and subject to audit.

Printcare PLC

Statement Of Changes In Equity

Group

Six Months ended 30 September 2024

Attributable to Equity Holders of the Parent

Stated

Other

Exchange

Revaluation

Retained

Translation

Capital

Reserve

Reserve

Earnings

Reserve

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Balance as at 31 March 2023

271,893

1,001,083

(2,671)

1,153,203

4,169,152

Profit/ (Loss) for the Year

-

-

-

-

108,800

Other Comprehensive Income /(Loss)

-

-

(4,949)

-

-

Dividends Paid

-

-

-

-

(300,883)

Balance as at 30 September 2023

271,893

1,001,083

(7,620)

1,153,203

3,977,069

Balance as at 31 March 2024

271,893

1,001,266

(22,917)

2,671,559

3,642,162

Share Issued

-

-

-

-

Profit/ (Loss) for the Year

-

-

-

-

(165,171)

Other Comprehensive Income

-

-

19,469

-

-

Transfer to Retained Earnings

-

-

-

(28,123)

28,123

Dividends Paid

-

-

-

-

(85,967)

Balance as at 30 September 2024

271,893

1,001,266

(3,448)

2,643,437

3,419,148

The above figures are provisional and subject to audit.

Fair value

through Other

Total

Minority

Total

Comprehensive

Interests

Equity

Income Reserves

Rs.'000

Rs.'000

Rs.'000

Rs.'000

1,802

6,594,461

240,743

6,835,204

108,800

(20,122)

88,678

812

(4,137)

-

(4,137)

-

(300,883)

-

(300,883)

2,614

6,398,241

220,621

6,618,862

2,394

7,566,358

302,794

7,869,152

-

-

332,658

332,658

(165,171)

(98,012)

(263,183)

26

19,495

5,585

25,080

-

-

-

-

-

(85,967)

-

(85,967)

2,420

7,334,715

543,025

7,877,740

Printcare PLC

Cash flow Statement

Six Months ended 30 September 2024

Note

Group

2024

2023

Cash Flows From / (Used in) Operating Activities

Rs.'000

Rs.'000

Profit / (Loss) Before Income Tax Expense

(146,791)

210,820

Non-Cash Adjustment to Reconcile Profit Before Tax to Net Cash Flows:

Depreciation

236,111

201,246

Amortization of Intangible Assets

4,793

5,313

(Profit) / Loss on Sale of Property, Plant and Equipment

42

-

Amortization of Right to use asset

19,147

10,181

Interest on Lease Liabilty

6,989

2,448

Interest Income on Refundable Deposit

(93)

(48)

Finance Costs

316,242

242,232

Finance Income

(57,120)

(14,784)

Provision for Employee Benefit Liability

21,505

16,192

Provision/(Reversal) for Slow Moving Stocks

(2,075)

6,597

Provision/(Reversal) of Impairment of Trade and Other Receivables

10,167

6,777

Unrealised Exchange (Gain)/Loss

(24,582)

5,565

Operating Profit before Working Capital Changes

384,334

692,539

Working Capital Adjustment:

(Increase)/ Decrease In Inventories

(204,757)

973,368

(Increase)/ Decrease In Trade and Other Receivables

(591,460)

225,541

(Increase)/ Decrease In Prepaymets

277,169

(49,494)

(Increase)/Decrease In Tax Recoverable/Payable

(394,980)

(3,783)

Increase/ (Decrease) In Trade and Other Payables

735,399

(177,229)

Cash Generated From Operations

205,704

1,660,942

Finance Costs Paid

(289,497)

(249,755)

Employee Benefit Plan Costs paid

(21,266)

(7,629)

Income Tax Paid

(157,040)

(279,231)

Net Cash Flows From/(Used in) Operating Activities

(262,099)

1,124,327

Cash Flows From Investing Activities

Acquisition of Property, Plant and Equipment

(2,363,352)

(134,375)

Proceeds from Sale of Property, Plant and Equipment

4

-

Acquisition of Intangible Assets

(3,668)

(4,146)

Finance Income Received

57,120

14,784

Investment in Other Short Term Investements

603,244

(111,473)

Net Cash Flows From/(Used in) Investing Activities

(1,706,652)

(235,209)

Cash Flows From/(Used in) Financing Activities

Proceeds From Interest Bearing Loans & Borrowings

9,822,924

8,498,046

Repayment of Interest Bearing Loans & Borrowings

(8,062,962)

(8,851,907)

Share issue - Minority Interest

332,658

-

Lease Liability Paid

(21,955)

(12,190)

Dividend Paid

(85,967)

(300,883)

Net Cash Flows Used in Financing Activities

1,984,699

(666,934)

Net Increase/(Decrease) in Cash and Cash Equivalents

15,948

222,184

Effect of Exchange Rate Changes

25,054

(4,949)

Cash and Cash Equivalents at the Beginning of the Year

757,084

1,161,034

798,087

1,378,270

Cash and Cash Equivalents in Cash

832,962

1,378,977

Cash and Cash Equivalents

Bank Overdrafts

(34,875)

(707)

Total Cash and Cash Equivalents

798,087

1,378,270

The above figures are provisional and subject to audit.

Printcare PLC

Income Statement

Company

Six Months

Six Months

Quarter

Quarter

Year

Note

ended

ended

Variance

ended

ended

Variance

ended

30.09.2024

30.09.2023

30.09.2024

30.09.2023

31.03.2024

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Revenue

1,782,905

1,856,702

(73,797)

939,639

948,606

(8,967)

3,873,130

Cost of Sales

(1,526,351)

(1,537,370)

11,019

(781,870)

(798,193)

16,323

(3,257,302)

Gross Profit

256,554

319,333

(62,779)

157,769

150,413

7,356

615,828

Other Operating Income

44,418

57,803

(13,386)

18,891

27,390

(8,499)

79,706

Distribution Costs

(33,075)

(30,799)

(2,275)

(18,599)

(15,816)

(2,784)

(100,870)

Administrative Expenses

(212,555)

(192,867)

(19,687)

(119,988)

(112,919)

(7,069)

(330,458)

Results from Operating Activities

55,342

153,470

(98,127)

38,072

49,068

(10,996)

264,207

Changes in Fair value of Investment Property

-

-

-

-

-

-

137,948

Finance Income

44,851

208,560

(163,710)

123

4,981

(4,858)

273,604

Finance Costs

(55,788)

(81,299)

25,511

(17,527)

(27,309)

9,781

(154,792)

Profit/ (Loss) Before Tax

44,406

280,731

(236,326)

20,668

26,740

(6,073)

520,968

Income Tax (Expense)/Reversal

2,324

(11,506)

13,830

(7,392)

(904)

(6,488)

(58,342)

Profit/ (Loss) for the Period

46,730

269,225

(222,496)

13,276

25,836

(12,561)

462,625

Earnings Per Share - Basic

10

0.54

3.13

0.15

0.30

5.38

Dividends Per Share

1.00

3.50

-

-

4.50

The above figures are provisional and subject to audit.

Printcare PLC

Statement of Comprehensive Income

Company

Six Months

Six Months

Quarter

Quarter

Year

Note

ended

ended

ended

ended

ended

30.09.2024

30.09.2023

30.09.2024

30.09.2023

31.03.2024

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Profit/ (Loss) for the Period

46,730

269,225

13,276

25,836

462,625

Other Comprehensive Income

Gains on Fair Value through Other

88

397

41

380

164

Comprehensive Income Investments

Actuarial Gains/(Losses)

-

-

-

-

35,676

Revaluation Gain

-

-

-

-

405,907

Deferred Tax Effect on actuarial gain

-

-

-

-

(10,703)

Deferred Tax Effect on capital gain on land

-

-

-

-

(121,772)

Profit/ (Loss) for the Period

46,817

269,623

13,316

26,216

771,897

The above figures are provisional and subject to audit.

Printcare PLC

Statement Of Financial Position

As at 30 September 2024

Company

ASSETS

Non-Current Assets

Property, Plant and Equipment Intangible Assets Investment Property Investment in Subsidiaries

Fair value through Other Comprehensive Income Investments

Current Assets

Inventories

Trade and Other Receivables

Prepayments

Other Taxes Recoverable

Cash and Bank Balances

Total Assets

EQUITY AND LIABILITIES

Equity

Stated Capital12

Reserves

Revaluation Reserve

Retained Earnings

Fair value through Other Comprehensive Income Reserves Total Equity

Non-Current Liabilities

Interest Bearing Loans and Borrowings

Deferred Tax Liabilities

Employee Benefit Liabilities

Current Liabilities

Trade and Other Payables

Income Tax Payable

Other Taxes Payable

Interest Bearing Loans and Borrowings

Total Equity and Liabilities

Net Asset Value Per Share (Rs.)

14

The above figures are provisional and subject to audit.

13-11-2024

30.09.2024

31.03.2024

Rs.'000

Rs.'000

1,791,731 1,789,229

7,0456,905

175,352 175,352

393,957 344,807

1,1391,051

2,369,223 2,317,344

941,878 958,397

862,116 991,409

32,421 49,993

32,9859,560

110,790 65,904

1,980,190 2,075,262

4,349,414 4,392,606

271,893 271,893

409,271 409,271

888,236 895,405

571,575 603,643

611523

2,141,586 2,180,735

220,283 298,048

454,992 461,644

137,190 137,818

812,465 897,511

316,681 401,938

28,468 38,639

3,5753,895

1,046,638 869,888

1,395,363 1,314,360

4,349,414 4,392,606

24.9125.37

Printcare PLC

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