CARSON CUMBERBATCH PLC

Annual Report 2021/22

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The PDF version of the Annual Report 2021/22

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CARSON CUMBERBATCH PLC

Contents

Introductory Statements

3

Financial Highlights

Chairman's Statement pg 4

4

Chairman's Statement

  1. Directors' Profile
  1. Group Structure

Business Review

Management Discussion & Analysis

Sector Reviews pg 12

12

Sector Reviews

18

Graphical Financial Review

Financial Review pg 20

20

Financial Review

26

Sustainability Report

38

Economic Value Statement

Governance & Risk

40

Management Teams

42

Group Directorate

Risk Management pg 46

46

Risk Management

54 Information to Shareholders & Investors

Financial Statements

  1. Financial Calendar
  2. Annual Report of the Board of Directors on the Affairs of the

Company

  1. Statement of Directors' Responsibility
  1. Report of the Related Party Transactions Review Committee
  1. Audit Committee Report
  1. Independent Auditors' Report
  1. Income Statement
  1. Statement of Profit or Loss and other Comprehensive Income
  2. Statement of Financial Position
  1. Statement of Changes in Equity
  1. Statement of Cash Flow
  1. Notes to the Financial Statements

Other Information

  1. Group Real Estate Portfolio
  2. Income Statement - USD
  3. Statement of Financial Position - USD
  4. Glossary
  1. Notice of Meeting
  1. Form of Proxy

Inner Back Cover Corporate Information

Financial Highlights

(Amounts expressed in Sri Lankan Rs.'000 unless otherwise stated)

For the year ended/as at 31st March

2022

2021

% Change

Income Statement

Group revenue

170,694,625

114,835,847

49

Profit from operations

26,887,956

16,741,927

61

Profit before taxation

22,373,161

14,303,789

56

Profit after taxation from continuing operations

14,651,065

9,805,232

49

EBITDA

33,901,555

23,552,154

44

Profit attributable to ordinary shareholders

7,354,472

4,820,851

53

Cash earning per share (Rs.)

88.23

82.01

8

Earnings per share (Rs.) - Group

37.45

24.55

53

Dividend per share (Rs.) - Company

1.50

0.75

100

Statement of Cash flow

Operating cash flow

17,326,401

16,105,913

8

Capital expenditure

5,801,443

9,193,688

(37)

Statement of Financial Position

Shareholders' funds

57,028,177

39,198,344

45

Net assets

116,063,040

79,080,525

47

Net assets per ordinary share (Rs.)

290.39

199.60

45

Return on ordinary shareholders' funds (%)

12.90%

12.30%

5

Total assets

281,185,406

197,074,212

43

Net debt

76,004,060

62,753,092

21

Market/Shareholder Information

Market value per share (Rs.) - Company

270

279

(3)

Enterprise value (Rs. Mn)

188,063

157,329

20

Market capitalization (Company) (Rs. Mn)

53,024

54,694

(3)

Revenue to Government of Sri Lanka (Rs. Mn)

46,405

36,892

26

Economic value retained (Rs. Mn)

21,652

16,374

32

Group employment (Nos.)

13,407

13,492

(1)

Employee benefit liability as of 31 March

1,556,911

1,566,372

(1)

3

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Carson Cumberbatch plc published this content on 20 July 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 20 July 2022 11:03:02 UTC.