Red Star Express PlcNSENG: REDSTAREX

Quarter 3 financial statement for 2025

· MarketScreener

RED STAR EXPRESS PLC

GROUP FINANCIALS

RED STAR EXPRESS PLC

UNAUDITED FINANCIAL HIGHLIGHTS

FOR THE PERIOD ENDED 31ST DECEMBER, 2024

MAJOR STATEMENT OF COMPREHENSIVE INCOME ITEMSTHE GROUP

TURNOVER

PROFIT/LOSS BEFORE TAX PROFIT/LOSS AFTER TAX

THE COMPANY

Current Period

Interim Period

Year to Date

Oct'24-Dec'24

Apr'24-Dec'24

N'000

N'000

5,805,742

15,543,486

229,283

570,252

142,487

372,632

Comparative Period

Interim Period

Year to Date

Oct'23-Dec'23

Apr'23-Dec'23

N'000

N'000

4,297,157

11,500,638

119,123

370,018

80,405

249,753

TURNOVER

PROFIT/LOSS BEFORE TAX

PROFIT/LOSS AFTER TAX

MAJOR STATEMENT OF FINANCIAL POSITION ITEMS

TOTAL ASSETS

SHAREHOLDERS FUND

SHARE CAPITAL

SHARE PREMIUM

REVENUE RESERVE

Current Period

Interim Period

Year to Date

Oct'24-Dec'24 Apr'24-Dec'24

N'000

N'000

2,830,149

7,585,215

117,493

250,996

67,031

157,143

THE GROUP

Dec-24

Mar-24

N' 000

N' 000

9,541,963

9,243,845

4,788,766

4,673,828

477,211

477,211

1,515,600

1,515,600

2,794,316

2,679,378

Comparative Period

Interim Period

Year to Date

Oct'23-Dec'23

Apr'23-Dec'23

N'000

N'000

1,952,258

5,375,598

51,143

179,041

34,521

120,849

THE COMPANY

Dec-24

Mar-24

N' 000

N' 000

7,554,990

7,282,071

3,539,103

3,639,655

477,211

477,211

1,515,600

1,515,600

1,544,653

1,645,205

INFORMATION PER 50 KOBO ORDINARY SHARE

NO OF ORDINARY SHARES NET ASSET (N)

EARNINGS PER SHARE (KOBO) NET ASSET PER SHARE(KOBO)

THE GROUP

Dec-24

Dec-23

954,422

954,423

4,788,767

4,313,397

3926

502452

THE COMPANY

Dec-24

Dec-23

954,422

954,423

3,539,104

3,554,695

16

13

371

372

RED STAR EXPRESS PLC

UNAUDITED CONSOLIDATED & SEPARATE

STATEMENT OF COMPREHENSIVE INCOME

FOR THE PERIOD ENDED 31ST DECEMBER, 2024

Note

Turnover

1

Cost of sales

3

Gross profit

Other income

2

Administrative and Other Operating

Expenses

4

Staff Gratuity

5

Depreciation & Amortisation

6

Impairment Loss

Effect of change in estimate useful

life of PPE

Total operating Expences

Finance Income

7

Finance Costs

7

Profit/Loss Before interest and Tax

Interest and similar charges Provision for diminution in investments

Profit/(Loss) Before Income Tax

Income Tax

8.1

Profit/(Loss) from continuing operation

Profit attributable to:

Owners of the company

Non controlling Interests

Profit for the period

Earnings per share

Basic earnings per share (kobo)

29

Diluted earnings per share (kobo)

Number of ordinary shares in

29

issue

The Group

The Company

Current Period

Comparative Period

Current Period

Comparative Period

Interim Period

Year to Date

Interim Period

Year to Date

Interim Period

Year to Date

Interim Period

Year to Date

Oct'24-Dec'24

Apr'24-Dec'24

Oct'23-Dec'23

Apr'23-Dec'23

Oct'24-Dec'24

Apr'24-Dec'24

Oct'23-Dec'23

Apr'23-Dec'23

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

5,805,742

15,543,486

4,297,157

11,500,638

2,830,149

7,585,215

1,952,258

5,375,598

(4,412,830)

(12,353,348)

(3,349,727)

(9,020,701)

(1,938,596)

(5,559,359)

(1,394,573)

(3,939,440)

1,392,913

3,190,139

947,430

2,479,937

891,553

2,025,855

557,684

1,436,158

5,251

28,871

9,754

41,774

2,074

25,274

24,902

45,909

1,398,164

3,219,010

957,184

2,521,711

893,627

2,051,130

582,586

1,482,067

(1,128,382)

(2,513,726)

(787,275)

(1,986,003)

(709,288)

(1,696,181)

(496,546)

(1,185,088)

-

-

(9,115)

(25,892)

-

-

(5,604)

(15,311)

(28,750)

(82,013)

(30,473)

(95,775)

(55,097)

(59,700)

(27,685)

(87,379)

-

-

-

-

-

-

-

-

-

-

-

-

-

-

(1,157,132)

(2,595,739)

(826,863)

(2,107,671)

(764,385)

(1,755,881)

(529,834)

(1,287,778)

-

-

30

33

-

-

30

33

(11,749)

(53,019)

(11,229)

(44,057)

(11,749)

(44,253)

(1,640)

(15,282)

229,283

570,252

119,123

370,018

117,493

250,996

51,143

179,041

-

-

-

-

-

-

-

-

229,283

570,252

119,123

370,018

117,493

250,996

51,143

179,041

(86,796)

(197,619)

(38,718)

(120,265)

(50,461)

(93,853)

(16,622)

(58,192)

142,487

372,632

80,405

249,753

67,031

157,143

34,521

120,849

142,487

372,632

80,405

249,753

67,031

157,143

34,521

120,849

-

-

-

-

-

-

-

-

142,487

372,632

80,405

249,753

67,031

157,143

34,521

120,849

39

26

16

13

954,422

954,423

954,422

954,423

RED STAR EXPRESS PLC

UNAUDITED CONSOLIDATED & SEPARATE STATEMENT

OF FINANCIAL POSITION

AS AT 31ST DECEMBER, 2024

The Group

The Company

Dec-24

Mar-24

Dec-24

Mar-24

Note

N'000

N'000

N'000

ASSETS

Non Current Assets

Property Plant and |Equipments

9

3,317,835

3,250,518

2,006,268

1,830,174

Intangible Assets

10

138,249

9,968

138,249

9,968

Right Of Use of Assets

11

209,479

104,165

202,073

96,759

Long Term Prepayments

15

83,068

16,145

34,944

1,773

Equity instrument at fair value through OCI

11.1

2,174

2,174

2,174

2,174

Investment in subsidiary

11.2

-

-

1,153,065

1,153,065

Employee Benefit asset

265,842

252,629

265,842

252,629

Total Non Current Assets

4,016,648

3,635,598

3,802,615

3,346,541

Current Assets

Inventories

12

106,830

70,638

Trade debtors

13

2,803,958

2,416,268

Other receivables

14

1,697,077

1,817,683

Current prepayments

15

163,426

184,367

Due from related company

28

Cash and cash equivalents

16

754,026

1,119,291

Total Current Assets

5,525,316

5,608,247

TOTAL ASSETS

9,541,963

9,243,845

EQUITY AND LIABILITIES

LIABILITIES

Non-current liabilities

Deferred taxation

18

236,605

236,605

Finance Lease Obligation

26,474

47,658

Interest bearing loans and borrowings

-

167,379

Employee Benefit asset

Total Non Current Liabilities

263,079

451,642

Current liabilities

Trade creditors

1,282,386

1,144,819

Other creditors and accruals

17

2,818,810

2,559,593

Due to related companies

28

-

Finance Lease Obligation

49,165

27,051

Income tax liabilities

8.2

173,098

124,484

Interest bearing loans and borrowings

166,659

262,428

Total Current Liabilities

4,490,118

4,118,375

TOTAL LIABILITIES

4,753,197

4,570,017

98,86263,211

1,297,756 1,161,555

812,485909,946

68,74672,505

946,019 1,157,121

528,507571,191

3,752,376 3,935,530

7,554,990 7,282,071

179,505179,505

26,47447,658

  • 113,306

205,979340,469

1,104,460 1,074,311

2,031,717 1,692,041

375,385312,161

49,16527,051

82,5226,362

166,659190,021

3,809,908 3,301,947

4,015,886 3,642,416

Equity

Share capital

19

477,211

477,211

477,211

477,211

Share premium

1,515,600

1,515,600

1,515,600

1,515,600

Retained Earnings

2,794,316

2,679,378

1,544,653

1,645,205

Fair value of equity instrument designated at FVOCI

1,639

1,639

1,639

1,639

Total Equity

4,788,766

4,673,828

3,539,103

3,639,655

TOTAL EQUITY AND LIABILITIES

9,541,963

9,243,845

7,554,990

7,282,071

The consolidated and separate financial statements were approved by the Board on the 30th day of January, 2025 and signed on its behalf by:

Babura Auwalu Badamasi

Onyibo Valentine

Managing Director/CEO

Chief Financial Officer

FRC/2016/ICAN/00000014402

FRC/2013/ICAN/00000003908

RED STAR EXPRESS PLC

UNAUDITED CONSOLIDATED & SEPARATE STATEMENT OF CHANGES IN EQUITY

AS AT 31ST DECEMBER, 2024

The Group

The Company

Fair Value of

Fair Value of

Equity

Equity

Instrument

Instrument

Issued

designated at

Issued

Retained

designated at

Capital

Share Premium

Retained Earnings

FVOCI

Total

Capital

Share Premium

Earnings

FVOCI

Total

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

As at 1st April, 2024

477,211

1,515,600

2,679,378

1,639

4,673,829

As at 1st April, 2024

477,211

1,515,600

1,645,205

1,639

3,639,656

Profit for the period

372,632

372,632

Profit for the period

157,143

157,143

Other comprehensive income:

-

Other comprehensive income:

-

Re-measurement gain/(loss) on

Re-measurement gain/(loss) on

defined benefit plan

-

defined benefit plan

-

Dividend

(257,694)

(257,694)

Dividend

(257,694)

(257,694)

As at 31st December 2024

477,211

1,515,600

2,794,316

1,639

4,788,766

As at 31st December 2024

477,211

1,515,600

1,544,653

1,639

3,539,104

Consolidated Statement of Changes in Equity

Consolidated Statement of Changes in Equity

For the year ended 31 March 2024

For the year ended 31 March 2024

Fair Value of

Fair Value of

Equity

Equity

Instrument

Instrument

Issued

designated at

Issued

Retained

designated at

Capital

Share Premium

Retained Earnings

FVOCI

Total

Capital

Share Premium

Earnings

FVOCI

Total

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

As at 1st April, 2023

477,212

1,515,600

2,584,613

331

4,577,755

As at 1st April, 2023

477,212

1,515,600

1,738,085

331

3,731,227

Profit for the year

343,003

343,003

Profit for the year

155,358

155,358

Other comprehensive income:

-

Other comprehensive income:

-

Other comprehensive income

(57,353)

1,308

(56,045)

Other comprehensive income

(57,353)

1,308

(56,045)

Re-measurement gain/(loss) on

Re-measurement gain/(loss) on

defined benefit plan

-

defined benefit plan

-

-

Fair Value of Equity Instrument

Fair Value of Equity Instrument

designated at FVOCI

-

designated at FVOCI

-

Dividend

(190,885)

(190,885)

Dividend

(190,885)

(190,885)

As at 31 March 2024

477,212

1,515,600

2,679,378

1,639

4,673,828

As at 31 March 2024

477,212

1,515,600

1,645,205

1,639

3,639,655

RED STAR EXPRESS PLC

UNAUDITED CONSOLIDATED AND SEPARATE STATEMENT OF CASH FLOWS

FOR THE PERIOD ENDED 31ST DECEMBER, 2024

GROUP

THE COMPANY

NOTE

Dec-24

Dec-23

Dec-24

Dec-23

N'000

N'000

N'000

N'000

Cash flows from operating activities:

Cash receipts from customers

14,152,920

10,330,441

7,184,774

5,818,258

Payment to suppliers and employees

(13,300,451)

(9,685,568)

(6,133,688)

(5,404,180)

Cash outflow from long term prepayment

-

-

-

-

Net cash provided by operating activities

21

852,469

644,873

1,051,086

414,078

Cash flows from investing activities:

Acquisition of Property Plant & Equipment

9

(402,735)

(226,883)

(337,660)

(153,185)

Purchase of Intangible assets

10

(134,730)

(2,363)

(134,730)

(2,363)

Prepaid lease payment

Additions to right of use assets

(181,302)

(8,989)

(181,302)

(8,989)

Proceeds from sale of PPE

-

-

-

-

Additional Investment in subsidiaries

Interest received

7

-

33

-

33

Dividend received

-

-

-

-

Net cash provided by investing activities

(718,767)

(238,201)

(653,692)

(164,503)

Cash flows from financing activities:

Proceeds from issue of share capital

-

-

-

-

Dividend paid

(257,694)

(190,885)

(257,694)

(190,885)

Proceeds from borrowings

-

-

-

-

Term Loan/Lease repayment

(188,255)

(139,715)

(138,131)

(54,056)

Refund of unclaimed dividend from registrars

-

-

-

-

Interest Paid

(53,019)

(44,057)

(44,253)

(15,282)

Net cash provided by financing activities

(498,968)

(374,657)

(440,078)

(260,223)

`

Net (decrease)/increase in cash and cash

equivalents

(365,266)

32,015

(42,684)

(10,648)

Cash and cash equivalents at the beginning of

the year

1,119,291

589,144

571,191

415,391

Cash and cash equivalents at the

end of the year

22

754,026

621,159

528,508

404,743

Notes to the Accounts (Statement Of Comprehensive Income)

FOR THE PERIOD ENDED 31ST DECEMBER, 2024

The Group

The Company

1

TURNOVER

Current Period

Comparative Period

Current Period

Comparative Period

Interim Period

Year to Date

Interim Period

Year to Date

Interim Period

Year to Date

Interim Period

Year to Date

Oct'24-Dec'24

Apr'24-Dec'24

Oct'23-Dec'23

Apr'23-Dec'23

Oct'24-Dec'24

Apr'24-Dec'24

Oct'23-Dec'23

Apr'23-Dec'23

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

Courier

2,843,008

7,598,074

1,952,258

5,375,598

2,830,149

7,585,215

1,952,258

5,375,598

Logistics

788,117

2,708,032

790,542

2,130,515

Freight

1,332,256

2,960,741

875,164

2,190,985

Support Service

842,362

2,276,639

679,194

1,803,540

5,805,742

15,543,486

4,297,157

11,500,638

2,830,149

7,585,215

1,952,258

5,375,598

2

OTHER OPERATING INCOME

a.

Other Income

Profit on Disposals of property, plant & equipment

-

-

-

0

-

-

-

-

Other Sundry income

5,251

28,871

9,754

20,774

2,074

25,274

24,902

24,909

Exchange gain

-

-

-

21,000

-

-

-

21,000

5,251

28,871

9,754

41,774

2,074

25,274

24,902

45,909

OTHER OPERATING INCOME

5,251

28,871

9,754

41,774

2,074

25,274

24,902

45,909

3

COST OF SALES

Staff cost

700,572

1,955,661

564,853

1,483,883

357,549

915,845

270,134

653,326

Pension

28,740

89,742

32,972

82,899

17,495

47,809

19,884

45,060

Gratuity

-

-

21,269

60,415

-

-

13,075

35,725

Medical

101,961

270,719

90,034

231,262

40,734

125,550

47,208

103,667

Training

19,884

35,108

4,229

15,503

60,838

71,990

2,221

7,853

Network Partners Costs

427,996

1,786,198

497,970

1,597,475

716,944

2,041,291

297,918

1,037,827

Domestic freight & Local deliveries

616,326

2,002,523

399,553

1,114,550

289,837

891,761

284,654

825,186

Vehicle running costs

1,010,840

2,807,445

873,288

2,207,152

218,103

672,134

229,739

566,861

Agent costs

276,267

490,561

94,832

263,273

35,251

137,043

93,762

259,383

Local transport & shuttle

642,563

1,476,742

461,126

1,027,036

112,845

335,069

55,010

139,346

Clearing and documentation charges

162,306

448,611

97,525

284,132

1,209

6,634

13,992

40,976

Projects and Consolidation expenses

191,892

279,858

42,826

127,997

-

-

Rents ant rates of outlets

70,408

180,098

27,267

89,021

33,347

74,362

6,239

34,915

Insurance

50,119

114,436

32,215

67,285

(8,964)

31,240

15,098

34,743

Depreciation

49,219

332,233

100,068

335,628

42,519

155,457

40,195

134,527

Direct Operational Costs

63,738

83,414

9,700

33,192

20,888

53,172

5,444

20,048

4,412,830

12,353,348

3,349,727

9,020,701

1,938,596

5,559,359

1,394,573

3,939,440

4

Administrative & Other Operating Expenses

Annual general meeting expenses

5,032

24,240

9,546

22,432

3,532

15,105

4,665

8,827

Audit fee

9,000

34,901

8,613

20,170

4,125

19,659

6,863

14,920

Bank Charges

16,309

46,719

12,881

30,853

10,262

33,308

8,367

16,143

Communication and telephone

46,951

78,249

33,029

69,004

45,218

72,370

22,755

43,434

Credit loss expense of financial assets

188,667

241,042

41,264

119,264

44,738

125,035

17,750

48,250

Hotel accommodation and entertainment

29,277

92,194

27,530

82,992

32,202

81,301

17,143

48,196

Insurance

12,498

28,609

8,054

26,821

2,727

5,310

3,775

6,186

Legal and professional charges

67,793

168,810

58,772

127,462

18,233

60,202

30,286

63,215

Medical

24,165

66,355

22,508

57,816

12,460

31,387

11,802

25,917

Newspaper and periodicals

655

2,122

567

1,699

464

1,463

347

849

Office protection services

25,708

63,124

17,476

47,992

18,713

46,241

9,426

20,016

Power and water

131,173

320,509

102,377

239,269

107,192

254,839

79,500

200,495

Printing and stationery

64,653

127,033

45,880

130,836

107,972

193,444

38,782

105,784

Publicity and promotion

26,203

83,523

17,091

43,590

16,344

59,129

9,745

22,868

Rent and rates

-

-

-

-

-

-

-

-

Repairs and maintenance

125,012

371,815

114,141

263,475

117,430

358,210

97,645

208,033

Security expenses

-

-

-

-

-

-

-

-

Write off of Property,plant and equipment

-

-

Employee benefits

293,915

611,380

203,463

532,669

131,391

230,735

88,141

218,550

Lease modification

-

-

-

-

-

-

-

-

Exchange loss

-

-

Subscriptions and donations

18,120

12,138

19,416

34,244

7,398

7,089

10,606

20,932

Training

5,059

11,277

1,057

3,876

2,075

1,998

555

1,963

Transportation, Selling and travelling costs

38,192

129,686

43,612

131,540

26,812

99,357

38,394

110,509

1,128,382

2,513,726

787,275

1,986,002

709,288

1,696,181

496,546

1,185,088

5

Staff Gratuity

Employee benefit expenses

-

-

9,115

25,892

-

-

5,604

15,311

-

-

9,115

25,892

-

-

5,604

15,311

6

Depreciation & Amortisation

Amortisation of Intangible Assets

1,612

6,450

5,290

16,830

1,612

6,450

5,290

16,830

Depreciation charge

27,138

75,563

25,183

78,945

53,485

53,250

22,395

70,549

28,750

82,013

30,473

95,774

55,097

59,700

27,685

87,379

7

Finance Income/ Finance Costs

Interest Received

-

-

30

33

-

-

30

33

Finance Cost - Interest payment on lease & loans

11,749

53,019

11,229

44,057

11,749

44,253

1,640

15,282

RED STAR EXPRESS PLC

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS

FOR THE PERIOD ENDED 31ST DECEMBER, 2024

The Group

Current Period

Comparative Period

Interim Period

Year to Date

Interim Period

Year to Date

Oct'24-Dec'24

Apr'24-Dec'24

Oct'23-Dec'23

Apr'23-Dec'23

N'000

N'000

N'000

N'000

TAXATION

8.1 Statement of Comprehensive Income

Income tax

68,785

171,076

35,737

111,005

Education tax

5,732

14,256

2,978

9,250

Back duty charge

12,273

12,273

-

-

Nigerian Police trust fund levy

6

14

3

9

Capital gain tax

-

-

-

86,796

197,619

38,718

120,265

Deferred tax (credit)/expense

-

Income tax

86,796

197,619

38,718

120,265

Dec-24

Mar-24

N'000

N'000

8.2 Statement o Financial Position

At the beginning of the year

124,484

204,262

Charge for the year

197,619

213,044

Back duty charge

12,273

-

Payments during the year

(161,279)

(292,822)

-

At the end of the year

173,098

124,484

.3

The charge for income tax in these consolidated financial statements is based on the provisions of the Companies Income Tax Act, CAP C21, LFN 2004 as amended to date.

Education tax is based on the provisions of the Education Tax Act, CAP E4, LFN 2020 (As amended).

The Company

Current Period

Comparative Period

Interim Period

Year to Date

Interim Period

Year to Date

Oct'24-Dec'24

Apr'24-Dec'24

Oct'23-Dec'23

Apr'23-Dec'23

N'000

N'000

N'000

N'000

35,248

75,299

15,343

53,712

2,937

6,275

1,279

4,476

12,273

12,273

-

-

3

6

1

4

-

-

-

50,461

93,853

16,622

58,192

-

50,461

93,853

16,622

58,192

Dec-24

Mar-24

N'000

N'000

6,362

119,396

93,853

64,689

12,273

-

(29,967)

(177,723)

-

82,522

6,362

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS

FOR THE PERIOD ENDED 31ST DECEMBER, 2024

9

SCHEDULE OF PROPERTY, PLANT AND EQUIPMENT.

Group

10010

10015

10075

<<10025,10080

10030

<<10050,10040

<<10035,10045

10095

Plant &

Computer &

Furniture,

Capital Work

Cost

Land

Buildings

Motor Vehicles

Motor Cycles

Other

Fittings &

Total

Machinery

In Progress

Equipment

Eqiup

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

As at 1 April 2024

554,130

536,666

172,446

2,350,464

915,017

811,602

155,272

1,063,212

6,558,809

Addition

-

140,778

107,721

30,975

21,325

85,621

16,314

-

402,735

Transfers/Reclassification

-

-

-

Disposals

-

-

-

-

As at 31st Dec 2024

554,130

677,444

280,167

2,381,439

936,342

897,223

171,586

1,063,212

6,961,544

Depreciation and impairment

As at 1 April 2024

-

192,371

106,708

1,438,876

787,047

651,384

131,905

-

3,308,292

Depreciation charge for the year

-

11,194

8,247

199,268

46,896

60,695

9,117

-

335,418

Disposals/Adjustments

-

-

-

As at 31st Dec 2024

-

203,566

114,955

1,638,144

833,943

712,079

141,023

-

3,643,709

Net book value

As at 31st Dec 2024

554,130

473,879

165,212

743,295

102,400

62,201

94,046

1,063,212

3,317,835

As at 31 March 2024

554,130

344,295

65,738

911,589

127,970

160,218

23,366

1,063,212

3,250,518

SCHEDULE OF PROPERTY PLANT AND EQUIPMENT.

Company

10110

10115

10175

<<10125,10180

10130

<<10150,10140

<<10135,10145

10195

Plant &

Computer &

Furniture,

Capital Work

Cost

Land

Buildings

Motor Vehicles

Motor Cycles

Other

Fittings &

Total

Machinery

In Progress

Equipment

Eqiupment

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

N'000

As at 1 April 2024

221,844

375,978

157,848

805,953

198,644

740,702

114,189

893,081

3,508,239

Addition

-

140,778

107,721

-

3,225

71,719

14,216

337,660

Transfers/Adj

-

Disposal

-

-

As at 31st Dec 2024

221,844

516,756

265,569

805,953

201,869

812,421

128,405

893,081

3,845,899

Depreciation and impairment

As at 1 April 2024

-

151,536

94,444

562,790

173,787

598,935

96,574

-

1,678,066

Depreciation charge for the year

7,952

7,292

72,399

12,287

54,344

7,290

161,564

Disposals/Adjustments

-

As at 31st Dec 2024

-

159,488

101,736

635,189

186,075

653,278

103,865

-

1,839,631

Net book value

As at 31st Dec 2024

221,844

357,268

163,833

170,764

15,795

159,143

24,541

893,081

2,006,268

As at 31 March 2024

221,844

224,442

63,404

243,164

24,857

141,767

17,615

893,081

1,830,174

10

INTANGIBLE ASSETS

10060

Jan-00

10160

THE GROUP

THE COMPANY

N'000

N'000

As at 1 April 2024

265,723

262,823

2,900

Addition

134,730

134,730

Disposals

-

-

Adjustment

-

-

As at 31st Dec 2024

400,453

397,553

2,900

Depreciation and impairment

As at 1 April 2024

255,754

252,854

170,419

168,653

Depreciation charge for the year

6,450

6,450

Disposals / Adjustment

As at 31st Dec 2024

262,205

259,305

Net book value

As at 31st Dec 2024

138,249

138,249

As at 31 March 2024

9,968

9,968

The Intangible assets represent investments on Computer Software and Software Licenses. This is to be amortised to profit or loss over a period of three years when the application is

installed and put into use.

RED STAR EXPRESS PLC

2022001

2022001

2024001

2024001

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS

2024/006

2024/006

FOR THE PERIOD ENDED 31ST DECEMBER, 2024

The Group

The Company

2024

2024

2024

2024

DEC

MAR

DEC

MAR

N'000

N'000

N'000

N'000

11 RIGHT OF USE ASSET

Opening balance

104,165

777,575

96,759

290,399

Additions in the year

181,302

58,998

181,302

52,280

Disposal

(75,381)

(75,381)

Depreciation Charge for the year

(75,988)

(657,027)

(75,988)

(170,539)

As at 31st March 2023

209,479

104,165

202,073

96,759

11. EQUITY INSTRUMENT AT FAIR VALUE

11.1 Quoted Equities

Nemeith International Pharmaceuticals Plc 1,194,622 ordinary shares of 50 Kobo each

Opening Value

2,174

866

2,174

866

Fair Value (loss)/Gain

-

1,308

-

1,308

Closing Value

2,174

2,174

2,174

2,174

11.2 Unquoted investments at cost:

336,678 Ordinary shares of 50 Kobo each in Fortune International Bank Plc

1,793

1,793

1,793

1,793

Provision for diminution in investment

(1,793)

(1,793)

(1,793)

(1,793)

-

-

-

-

-

-

-

-

Investment in subsidiaries:

% Holding

Investment in Red Star Freight Limited

100

354,000

354,000

Investment in Red Star Supports Services Limited

100

49,065

49,065

Investment in Red Star Logistics Limited

100

750,000

750,000

1,153,065

1,153,065

12

STOCKS

Stationeries and packaging materials

54,794

41,273

47,463

34,483

Fuel and oil

48,758

26,107

48,189

25,538

Spare parts

3,278

3,258

3,210

3,190

106,830

70,638

98,862

63,211

13

TRADE DEBTORS

Trade debtors

2,944,768

2,557,078

1,387,802

1,251,601

Provision for doubtful debts

(140,810)

(140,810)

(90,046)

(90,046)

2,803,958

2,416,268

1,297,756

1,161,555

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