25 Oct 2019 10:27
Hidong
Estate
PLC
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Interim report of shareholders for the half year ended
30 September 2019
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The results for the half year ended 30 September 2019 are given below with appropriate comparative figures:-
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Profit and loss account for the half year ended 30 September 2019
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Β | Half year ended | Half year ended | Year ended |
Β | 30 Sept 2019 | 30 Sept 2018 | 31 Mar 2019 |
Β | RM | RM | RM |
Β | Β | Β | Β |
Administrative expenses | (54,667) | (78,883) | (245,790) |
Β | Β | Β | Β |
Operating loss | (54,667) | (78,883) | (245,790) |
Income from investments | 21,160 | 34,172 | 54,297 |
Interest receivable and similar income | 165,020 | 153,716 | 388,628 |
Β Profit on ordinary activities before taxation | Β Β 131,513 | Β Β 109,005 | Β Β 197,135 |
Β | Β | Β | Β |
Tax on profit on ordinary activities | (39,605) | (36,892) | (88,607) |
Β Profit for the period |
91,908 |
72,113 | Β 108,528 |
Β Basic and diluted profit per 10p share | Β 5.36 sen | Β 4.20 sen | Β 6.33 sen |
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Notes:
1. The directors do not propose to pay any interim dividend (2018 : RM Nil).
2. Copies of the Interim Report are available from the Company's registered office at Neville House Steelpark Road, Halesowen, West Midlands B62 8HD.
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Penang CHEW SING GUAN
25 October 2019 Chairman
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Hidong
Estate
PLC
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Balance sheet as at 30 September 2019
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Β | As at | As at | As at |
Β | 30 Sept 2019 | 30 Sept 2018 | 31 Mar 2019 |
Β | RM | RM | RM |
Fixed assets | Β | Β | Β |
Investments | 1,164,387 | 1,286,452 | 1,161,795 |
Β | Β | Β | Β |
Current assets | Β | Β | Β |
Debtors | 19,313 | - | 19,313 |
Deposits | 10,950,000 | 10,900,000 | 11,000,000 |
Cash at bank and in hand | 95,153 | 76,065 | 131,181 |
Β | 11,064,466 | 10,976,065 | 10,150,494 |
Current liabilities | Β | Β | Β |
Creditors : amount falling due within one year | Β (341,287) | Β (416,924) | Β (516,631) |
Β | (341,287) | (416,924) | (516,631) |
Β | Β | Β | Β |
Net current assets | 10,723,179 | 10,559,141 | 10,633,863 |
Β | Β | Β | Β |
Net assets | 11,887,566 | 11,845,593 | 11,795,658 |
Β | Β | Β | Β |
Capital and reserves | Β | Β | Β |
Called up share capital | 1,067,846 | 1,067,846 | 1,067,846 |
Fair value reserve | 306,984 | 403,228 | 306,984 |
Profit and loss reserve | 10,512,736 | 10,374,519 | 10,420,828 |
Β | Β | Β | Β |
Shareholders' Funds | 11,887,566 | 11,845,593 | 11,795,658 |
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These financial statements were approved by the Board of Directors on 25 October 2019.
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CHEW SING GUAN )
)
) Directors
)
CHEW BEOW SOON )
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Hidong
Estate
PLC
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Statement of Other Comprehensive Income for the half year ended 30 September 2019
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Β | Half year ended | Half year ended | Year ended |
Β | 30 Sept 2019 | 30 Sept 2018 | 31 Mar 2019 |
Β | RM | RM | RM |
Β Profit for the period | Β 91,908 | Β 72,113 | Β 108,528 |
Β | Β | Β | Β |
Other Comprehensive Income | Β | Β | Β |
Unrealised loss on investments | - | - | (88,493) |
Change in fair value during the period on disposal of investments | Β - | Β - | Β 2,143 |
Β | Β | Β | Β |
Β Total Comprehensive Income for the period | Β 91,908 | Β 72,113 | Β 22,178 |
Β Hidong
Estate
PLC
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Cash flow statement for the half year ended 30 September 2019
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Β | Half year ended | Half year ended | Year ended |
Β | 30 Sept 2019 | 30 Sept 2018 | 31 Mar 2019 |
Β | RM | RM | RM |
Cash flows from operating activities | Β | Β | Β |
Profit for the period | 91,908 | 72,113 | 108,528 |
Adjustments for: | Β | Β | Β |
Interest receivable and similar income | (165,020) | (153,716) | (388,628) |
Income from investments | (21,160) | (34,172) | (54,297) |
Impairment loss on investments | - | - | 23,019 |
Taxation | 39,605 | 36,892 | 88,607 |
Β | (54,667) | (78,883) | (222,771) |
(Decrease)/increase in other creditors | (96,000) | (83,000) | 13,000 |
Β | (150,667) | (161,883) | (209,771) |
Tax paid | (118,949) | (37,500) | (85,508) |
Net cash used in operating activities | (269,616) | (199,383) | (295,279) |
Cash flows from investing activities | Β | Β | Β |
Β Dividend received | 21,160 | 34,172 | 54,297 |
Interest received | 165,020 | 259,244 | 474,842 |
Β Purchase of investments | (2,592) | - | (1,505) |
Sale of investments | - | - | 16,794 |
Decrease/(increase) in deposits | 50,000 | (200,000) | (300,000) |
Net cash from investing activities | 233,588 | 93,416 | 244,428 |
Cash flows from financing activities | - | - | - |
Net decrease in cash and cash equivalents | (36,028) | (105,967) | (50,851) |
Β Cash and cash equivalents at 1 April | 131,181 | 182,032 | 182,032 |
Cash and cash equivalents at 30September/31 March | 95,153 | 76,065 | 131,181 |
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