TIDMKAKU

RNS Number : 4947W

Kakuzi Ld

19 August 2020

KAKUZI PLC

EXTRACT FROM THE INTERIM FINANCIAL STATEMENTS

FOR THE PERIOD OF SIX MONTHS TO 30 JUNE 2020

The unaudited results for the Kakuzi Group for the period of six months to 30 June 2020 and the comparative figures for the previous year are as follows:

 
   Condensed Consolidated Statement of Profit or Loss 
              and other Comprehensive Income 
 
                                        30 June   30 June 
                                           2020      2019 
                                        Shs'000   Shs'000 
 
 Sales                                  889,909   619,463 
                                        =======  ======== 
 
 Profit before fair value gain 
  in non-current biological assets 
  and income tax                        186,022   334,857 
 Fair value gain in non-current 
  biological assets                      18,095    20,225 
 
 Profit before income tax               204,117   355,082 
 Income tax credit/(expense)             68,670  (109,501) 
                                        -------  -------- 
 
 Profit for the period                  272,787   245,581 
 
 Other Comprehensive Income: 
 Items that are not reclassified 
  to profit or loss: 
 Remeasurement of post-employment             -         - 
  benefit obligations (net of tax) 
 Total comprehensive income             272,787   245,581 
                                        =======  ======== 
 
                                            Shs       Shs 
 Earnings per share (Shs): 
 Basic and diluted earnings per 
  ordinary share                          13.92     12.53 
 
 
 
         Condensed Consolidated Statement of Cash flows 
 
                                             30 June     30 June 
                                                2020        2019 
                                             Shs'000     Shs'000 
 
 Cash and cash equivalents at 
  the beginning of the year                1,696,130   1,500,935 
                                           ---------   --------- 
 
 Net cash used in operating activities      (226,022)    (86,944) 
 Net cash used in investing activities      (195,489)   (235,314) 
 Net cash used in financing activities      (274,413)   (176,400) 
 Effect of exchange rate differences 
  on cash and cash equivalents                12,856       1,911 
                                           ---------   --------- 
 Decrease in cash and cash equivalents      (683,068)   (496,747) 
 
 Cash and cash equivalents at 
  the end of the year                      1,013,062   1,004,188 
                                           =========   ========= 
 
 
 
      Condensed Consolidated Statement of Financial Position 
                                                         Audited 
                               30 June     30 June   31 December 
                                  2020        2019          2019 
                               Shs'000     Shs'000       Shs'000 
 EQUITY 
 Share capital                  98,000      98,000        98,000 
 Other reserves                 31,463      19,653        31,463 
 Retained earnings           5,087,249   4,621,004     4,814,462 
 Proposed dividends                  -           -       274,400 
                            ----------   ---------   ----------- 
 Total equity                5,216,712   4,738,657     5,218,325 
 Non-current 
  liabilities                  914,503     972,478     1,007,047 
                            ----------   ---------   ----------- 
                             6,131,215   5,711,135     6,225,372 
                            ==========   =========   =========== 
 REPRESENTED 
  BY 
 Non-current 
  assets                     3,920,666   3,745,481     3,868,015 
 
 Current assets              1,568,992   1,371,745       896,890 
 Cash and cash 
  balances                   1,013,062   1,004,188     1,696,130 
 Current liabilities          (371,505)   (410,279)     (235,663) 
                            ----------   ---------   ----------- 
 Net current 
  assets                     2,210,549   1,965,654     2,357,357 
                            ----------   ---------   ----------- 
                             6,131,215   5,711,135     6,225,372 
                            ==========   =========   =========== 
 
 
 
         Condensed Consolidated Statement 
               of Changes in Equity 
                       Share      Other   Retained    Proposed       Total 
                     capital   reserves   earnings   dividends      Equity 
                     Shs'000    Shs'000    Shs'000     Shs'000     Shs'000 
 
 At start of 
  the year            98,000     31,463  4,814,462     274,400   5,218,325 
 
 Profit for the 
  period                   -          -    272,787           -     272,787 
 Dividends paid            -          -          -    (274,400)   (274,400) 
 
 
 At end of period     98,000     31,463  5,087,249           -   5,216,712 
 
 
 

RESULTS:

The profit before tax for the period to June 2020 was KSh 204.1 million compared to a profit of KSh 355.1 million for the same period last year. This is principally due to a financial provision write back in 2019.

During the first half of the year, avocado profits are on a par with 2019, macadamia profits are greater, and our tea operations made an operating loss of KSh 11.3 million compared to a loss of KSh 1.1 million in 2019.

The profit after tax for the period to 30 June 2020 was KSh 272.8 million compared to a profit of KSh 245.5 million for the same period last year. This is principally due to the release of deferred tax provision in view of the reduction of the Corporate tax rate to 25% from 30% by the Government.

The Directors do not recommend the payment of an interim dividend.

BY ORDER OF THE BOARD

G H MCLEAN

CHAIRMAN

18 AUGUST 2020

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

END

IR BSGDIDUBDGGI

(END) Dow Jones Newswires

August 19, 2020 02:00 ET (06:00 GMT)

Kakuzi Ld (LSE:KAKU)
Historical Stock Chart
From Oct 2024 to Nov 2024 Click Here for more Kakuzi Ld Charts.
Kakuzi Ld (LSE:KAKU)
Historical Stock Chart
From Nov 2023 to Nov 2024 Click Here for more Kakuzi Ld Charts.