Scoa Nigeria PlcNSENG: SCOA

S c o a nigeria plc- quarter 2 - financial statement for 2025

· Issued by Scoa Nigeria Plc


‌SCOA NIGERIA PLC

[RC: 6293]

UNAUDITED FINANCIAL STATEMENTS FOR THE PERIOD ENDED 30TH JUNE, 2025

‌SCOA NIGERIA PLC

UN-AUDITED STATEMENT OF COMPREHENSIVE INCOME FOR THE PERIOD 30TH JUNE, 2025

Unaudited

Audited

Current Period

Ended

Period Ended

% changes

30th June,2025

30th June,2024

N'000

N'000

Revenue

3,344,454.95

4,399,665.57

(0.24)

Cost of Sales

(2,532,519.68)

(3,433,951.51)

(0.26)

Gross profit

811,935.27

965,714.06

(0.16)

Distribution/Admin Expenses

(536,032.82)

(868,604.22)

(0.38)

Other Income

107,353.48

139,872.77

(0.23)

Financial Charges

(52,103.15)

(351,236.47)

(0.85)

Financial ncome

11,603.03

Profit/Loss Before Tax

342,755.81

(114,253.86)

(4.00)

Taxation

(16,418.96)

(2,119.80)

6.75

Profit/Loss After Tax

326,336.85

(116,373.65)

(3.80)

Other Comprehensive Income

Total Comprehensive Income

326,336.85

(116,373.65)

(3.80)

Profit/Loss After Tax Attr. To Noncontrolling Int

127,475.99

(5,851.76)

(22.78)

Profit/Loss After Tax Owners of the Company

198,860.87

(110,521.89)

(2.80)

Total Comp. Inc.Attr. to Non-Controlling Interest

Attributable to Owners of the Company

Basis/Diluted (loss) /Earnings per Share

0.31

(0.17)

(2.80)

‌SCOA NIGERIA PLC

UN-AUDITED STATEMENT OF COMPREHENSIVE INCOME FOR THE PERIOD 1st APRIL to 30th JUNE , 2025

Unaudited

Unaudited

Current Period

Ended

Period Ended

% changes

April to

June,2025

April to

June,2024

N'000

N'000

Revenue

3,007,407.08

1,821,582.98

0.65

Cost of Sales

(2,250,629.75)

(984,773.04)

1.29

Gross profit

756,777.33

836,809.94

(0.10)

Distribution/Admin and Othe

19,527.88

(868,604.22)

(1.02)

Other Income

(88,906.84)

139,014.23

(1.64)

Financial Charges

(52,103.15)

(351,236.47)

(0.85)

Profit/Loss Before Tax

11,603.03

(244,016.52)

(1.05)

Taxation

646,898.25

(2,119.80)

(306.17)

Profit/Loss After Tax

(16,418.96)

(246,136.32)

(0.93)

Other Comprehensive Income

Total Comprehensive Income

630,479.29

(246,136.32)

(3.56)

-

Profit/Loss After Tax Attr.

243,425.50

(57,413.41)

(5.24)

Profit/Loss After Tax Owner

387,053.80

(188,722.91)

(3.05)

Total Comp. Inc.Attr. to Non-

-

Attributable to Owners of th

-

Basis/Diluted (loss) /Earnings

0.60

(0.29)

(3.05)

‌SCOA NIGERIA PLC

UN-AUDITED STATEMENT OF FINANCIAL POSITION AS AT 30TH JUNE, 2025

Un-Audited

Unaudited

Current Period

Ended

Period Ended

% changes

30th June '25

31st Dec, 2024

N'000

N'000

Property, plant and equipment

3,557,246.65

3,519,030.00

(0.01)

Deferred Tax Assets

430,232.29

430,232.00

(0.00)

Investment in subsidiary / associates Cos.

Total Non Current Assets

3,987,478.94

3,949,262.00

(0.01)

Inventories

4,390,230.55

2,730,540.00

(0.61)

Debtors and Other Receivables

3,024,866.40

904,151.00

(2.35)

Other current assets

118,586.02

386,992.00

0.69

Cash and cash equivalents

5,095,741.73

4,034,819.00

(0.26)

Total Current Assets

12,629,424.69

8,056,502.00

(0.57)

Advance from customer

843,259.00

843,259.00

-

Trade and Other Payables

1,566,157.38

2,537,051.00

0.38

Current Financial liabilities

10,255,535.09

4,364,383.00

(1.35)

Current Tax Liabilities

29,818.63

385,287.00

0.92

Total Current Liabilities

12,694,770.10

8,129,980.00

(0.56)

Non-Current Financial liabilities

1,143,076.40

1,143,076.40

-

Defined benefit Plan

93,359.11

209,370.00

0.55

Deferred Tax Liabilities

-

-

Liabilities included in disposal groups classified as held for sale (Where applicable)

Total Non-Current Liabilities

1,236,435.51

1,139,659.00

(0.08)

Working Capital

(65,345.41)

1,305,554.00

1.05

Net Assets

2,685,698.01

2,736,125.00

0.02

Non Controlling Interest

(747,352.99)

619,877.00

2.21

Attributable to Owners of the Company

3,433,051.00

2,116,248.00

(0.62)

These consolidated financial statements were approved by the Board of Directors on 30th July, 2025 and signed on its behalf

by:



Mr. Henry Agbamu

Dr.Massad F.Boulos

FRC/2013/NIM/00000003968

FRC/2013IOD/00000003008

Mrs. A. Okereke

FRC/2013/ICAN/00000002373

‌ STATEMENT OF CHANGES IN EQUITY AS AT 30th June '25- (UN-AUDITED)

Issued & paid

up Share Capital

Share Premium

Retained Earnings

Revaluation Reserve

Total

Non controlling interest

Total Equity

₦000

₦000

₦000

₦000

₦000

₦000

₦000

% Change

Balance as of 1st January 2025

324,913.00

194,405.00

(4,210,219.00)

4,830,560.00

1,139,659.00

1,305,554.00

2,445,213.00

0.02

Prior year dividend approved

transfer to payables

Dividend

Profit/(loss) for the period / year

198,860.87

198,860.87

127,475.99

326,336.85

0.30

Other comprehensive

income/(loss)

Balance as of 30th June, 2025

324,913.00

194,405.00

(4,011,358.13)

4,830,560.00

1,338,519.87

1,433,029.99

2,771,549.85

0.12

Audited

Balance as of 1st January 2024

324,913.00

194,405.00

(4,181,335.00)

5,434,841.00

1,772,824.00

614,152.00

2,386,976.00

Dividend

Profit for the year

157,833.00

157,833.00

70,979.00

228,812.00

Adjustment to revaluated

properties

-

-

Other comprehensive income

-

-

(8,923.00)

(8,923.00)

(8,923.00)

Prior Year Adjustment

(177,794.00)

(604,281.00)

(782,075.00)

620,423.00

(161,652.00)

Balance as of 31st Dec, 2024

324,913.00

194,405.00

(4,210,219.00)

4,830,560.00

1,139,659.00

1,305,554.00

2,445,213.00

‌SCOA NIGERIA PLC

CASH FLOW STATEMENT FOR the period ended 30th June , 2025 ( Un-audited)

Unaudited

Audited

%

Change

Current Period

Ended

Period Ended

30th June '25

31st Dec '25

N'000

N'000

Cash Flow from Operating Profit-Activities

342,755.81

374,399.00

0.08

Operating Cash Flow before Working Capital Changes

6,746,991.70

(525,357.00)

13.84

Operating Cash Flow from Changes in Working Capital

(2,185,637.97)

(1,707,170.00)

(0.28)

Net Cash Generated from Operating Activities

4,904,109.55

(1,858,128.00)

3.64

Cash Flow from Investing Activities

88,129.62

(10,923.00)

9.07

Cash Flow from Financing Activities

(3,869,843.44)

388,420.00

10.96

Net Increase/Decrease Cash and Cash Equivalent

1,122,395.73

(1,480,631.00)

1.76

Cash and Cash Equivalent Beginning of the Year

3,973,346.00

5,453,977.00

Cash and Cash Equivalent End of the Year

5,095,741.73

3,973,346.00

(0.28)

CORPORATE ACTION

Proposed Bonus

Proposed Dividend

Closure Date

Date of Payment

AGM Date

AGM Vanue

‌SCOA NIGERIA PLC

NOTES TO THE Un-Audited STATEMENT of FINANCIAL POSITION AS AT

PERIOD ENDED 30th June, 2025

Un-Audited

Audited

30th June,2025

31st Dec, 2024

=N='000

=N='000

1 ) REVENUE :

Analysis By class of Business:

Autos

358,954.14

2,723,493.00

Equipment

2,985,500.82

9,614,513.00

Trading

Construction

-

-

3,344,454.95

12,338,006.00

2. Current Asset : Inventories /Stock:

Raw Material and Consumables

1,734,027.12

1,708,208.00

Finished Goods

1,105,495.00

1,022,332.00

2,839,522.12

2,730,540.00

3) Current Assets: Trade & Other Receivables

Trade Debtors

3,024,866.40

3,346,750.00

Prepayment & others receivables

118,586.02

386,992.00

Cash & Bank Balance

5,095,741.73

3,973,346.00

8,239,194.14

7,707,088.00

4) Current Liabilities : Trade & Other Payables

Dividend Payable

Trade and other payables

1,566,157.38

2,537,051.00

Taxation

29,818.63

145,587.00

Bank Overdraft

61,472.85

77,228.71

Interset Bearing Loan

10,194,062.25

2,304,762.92

11,851,511.10

5,064,629.63

5) Non Current Liabilities

Interset Bearing Loan

1,143,076.40

1,221,201.00

Employee Benefit Liability - Gratuity

93,359.11

209,370.00

1,236,435.51

1,430,571.00

6. Call Up Share Capital

Authorised:

2 Billion Ordinary Shares of 50k Each

1,000,000.00

1,000,000.00

Alloted, Called Up and Fully Paid

649.5 million Ordinary Shares of 50k each

324,913.00

324,913.00

‌FREE FLOAT COMPUTATION

Company Name:

Year End:

Jun-25

Reporting Period:

Q2, 2025

Share Price at end of reporting period:

N5.39

Description

30/06/2025

Units

Percentage (In relation to Issued Share Capital)

Issued Share Capital

649,825,665

100%

Details of Substantial Shareholdings (5% and above)

SCOA International S.A.

443,489,031

68.25

Total Substantial Shareholdings

443,489,031

68.25

Directors' Shareholdings (direct and indirect), excluding directors with substantial interests

Mr. Henry agbamu

137,843

0.02

Dr, Massad Fares Boulos

1,150

0.00

Mrs. Sarah Boulos

1,090

0.00

Mr. Michel Zouhoah Fadoul

-

-

Alhaji Gambo Lawan

-

-

Prince Boniface Nwabuko

2,500

0.00

Hon. Magnus Onyibe

-

-

Mr. Amresh Shrivastava

-

-

Total Directors' Shareholdings

142,583

0.02

Influential Shareholdings

Investra Limited

6,465,757

1.00

H-Top Limited

11,562,500

1.78

Bi-Tradex Limited

9,534,232

1.47

Krystall Limited

11,250,000

1.73

Laikeside Limited

10,812,500

1.66

Larbrisse Limited

10,000,000

1.54

Vinette Limited

13,125,000

2.02

Total Influential Shareholdings

72,749,989

11.20

Free Float in Units and Percentage

133,444,062

20.54

Free Float in Value

N719,263,494.18

Declaration:

SCOA Plc with a free float value of N719,263,494.18 as at 30 June 2025, is compliant with The Exchange's free float requirements for companies listed on the Main Board.with The Exchange's free float requirements for companies listed on the Main Board.

‌SECURITIES TRADING POLICY‌

In compliance with Rule 17.15 Disclosure of Dealings in Issuers' Shares, Rulebook of the Exchange 2015 (Issuers Rule) Scoa Nigeria Plc maintains a Security Trading Policy which guides Directors, Audit Committee members, employees and all individuals categorized as insiders as to their dealing in the Company's shares. The Policy undergoes periodic reviews by the Board and is updated accordingly. The Company has made specific inquiries of all its Directors and other insiders and is not aware of any infringement of the policy during the period.

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