CIC HOLDINGS PLC

QUARTERLY REPORT 30.09.2022

Corporate Information

NAME OF THE COMPANY

CIC Holdings PLC

COMPANY REGISTRATION NO.

PQ 88

LEGAL FORM

A Public Quoted Company with limited liability incorporated in Sri Lanka in 1964.

DIRECTORS

  1. H Amarasekera- Chairman R S Captain
    S M Enderby J R Gunaratne
    M P Jayawardena D T S H Mudalige P R Saldin

SECRETARY

P W Corporate Secretarial (Pvt) Ltd 3/17,Kynsey Road,

Colombo 08.

T.P 011 4640360

AUDITORS

KPMG

Chartered Accountants

32A, Sir Mohamed Macan Markar Mawatha

Colombo 03.

LEGAL ADVISERS

Julius & Creasy

Attorneys - at - Law

371, R A De Mel Mawatha, Colombo 03

Heritage Partners

Attorneys - at - Law

04, Malasekera Pedesa,

Colombo 07.

Nithya Partners

Attorneys - at -Law

97A, Galle Road, Colombo 03.

REGISTERED OFFICE

CIC House

199, Kew Road

Colombo 02.

CIC Holdings PLC 01

Company Statements of Comprehensive Income

Three

Three

Variance

Six months

Six months to

Variance

months to

months to

%

to

%

30 September

2022

2021

2022

2021

(In Rs.Mns)

Revenue

3,429.61

2,420.97

41.66

6,689.02

4,906.25

36.34

Cost of sales

(2,073.79)

(1,729.85)

19.88

(3,967.34)

(3,542.28)

12.00

Gross profit

1,355.82

691.12

96.18

2,721.68

1,363.97

99.54

Other income

204.55

54.75

273.61

344.02

261.35

31.63

Distribution expenses

(461.11)

(258.31)

78.51

(796.66)

(534.95)

48.92

Impairment loss on trade receivables

(29.88)

(34.76)

(14.04)

(22.69)

(16.72)

35.71

Administrative expenses

(203.88)

(117.54)

73.46

(339.81)

(210.37)

61.53

Results from operating activities

865.50

335.26

158.16

1,906.54

863.28

120.85

Finance income

34.19

12.78

167.53

51.71

24.55

110.63

Finance costs

(467.19)

(77.05)

506.35

(753.63)

(123.60)

509.73

Finance cost (net)

(433.00)

(64.27)

573.72

(701.92)

(99.05)

608.65

Profit before tax

432.50

270.99

59.60

1,204.62

764.23

57.63

Tax expense

(105.59)

(81.50)

29.56

(306.44)

(192.43)

59.25

Profit from continuing operations

326.91

189.49

72.52

898.18

571.80

57.08

Loss from discontinued operations (net of tax)

(0.30)

(0.14)

114.29

(0.32)

(0.27)

18.52

Profit for the period

326.61

189.35

72.49

897.86

571.53

57.10

Other comprehensive income

Items that will never be reclassified to profit or loss

Net (losses)/gain on fair value change in financial assets

195.21

27.01

622.73

(14.34)

5.92

(342.23)

Other comprehensive income for the period (net of tax)

195.21

27.01

622.73

(14.34)

5.92

(342.23)

Total comprehensive income for the period (net of tax)

521.82

216.36

141.18

883.52

577.45

53.00

Profit attributable to :

Equity holders of the company

326.61

189.35

72.49

897.86

571.53

57.10

326.61

189.35

72.49

897.86

571.53

57.10

The other comprehensive income attributable to :

Equity holders of the company

195.21

27.01

622.73

(14.34)

5.92

(342.23)

195.21

27.01

622.73

(14.34)

5.92

(342.23)

Earnings per share

Basic/diluted earnings per share (Rs.)

0.86

0.50

72.49

2.37

1.51

57.10

Earnings per share-continuing operation

Basic/diluted earnings per share (Rs.)

0.86

0.50

72.52

2.37

1.51

57.08

The above figures are provisional and unaudited

Figures in brackets indicate deductions

CIC Holdings PLC 02

Consolidated Statements of Comprehensive Income

Three

Three months

Variance

Six months to

Six months to

Variance

months to

to

%

%

30 September

2022

2021

2022

2021

(In Rs.Mns)

Revenue

17,830.36

9,538.92

86.92

33,140.97

18,588.53

78.29

Cost of sales

(10,951.51)

(6,963.05)

57.28

(19,456.54)

(13,714.45)

41.87

Gross profit

6,878.85

2,575.87

167.05

13,684.43

4,874.08

180.76

Other income

23.63

62.47

(62.17)

153.60

129.95

18.20

Distribution expenses

(1,054.33)

(676.51)

55.85

(1,901.74)

(1,335.95)

42.35

Administrative expenses

(732.87)

(460.34)

59.20

(1,313.16)

(879.48)

49.31

Impairment loss on trade receivables

(68.29)

(52.54)

29.98

(113.78)

(52.31)

117.51

Other expenses

(0.35)

-

100.00

(0.50)

(0.04)

1,150.00

Results from operating activities

5,046.64

1,448.95

248.30

10,508.85

2,736.25

284.06

Finance income

99.52

1.28

7,675.00

188.99

54.37

247.60

Finance cost

(1,035.19)

(312.23)

231.55

(3,028.45)

(477.56)

534.15

Finance cost (net)

(935.67)

(310.95)

200.91

(2,839.46)

(423.19)

570.97

Share of profit of equity accounted investees

185.00

80.85

128.82

292.07

126.67

130.58

Profit before tax

4,295.97

1,218.85

252.46

7,961.46

2,439.73

226.33

Tax expense

(1,101.11)

(270.52)

307.03

(1,992.90)

(579.51)

243.89

Profit from continuing operations

3,194.86

948.33

236.89

5,968.56

1,860.22

220.85

Discontinued operations

Loss from discontinued operations (net of tax)

(2.46)

(10.96)

(77.55)

(85.84)

(26.07)

229.27

Profit for the period

3,192.40

937.37

240.57

5,882.72

1,834.15

220.73

Other comprehensive income

Net gain/(loss) on fair value change in financial assets

395.30

225.15

75.57

(147.35)

90.85

(262.19)

Other comprehensive income for the period (net of tax)

395.30

225.15

75.57

(147.35)

90.85

(262.19)

Total comprehensive income for the period (net of tax)

3,587.70

1,162.52

208.61

5,735.37

1,925.00

197.94

Profit Attributable to :

Equity holders of the Company

2,343.31

751.39

211.86

4,460.16

1,487.39

199.86

Non-controlling interest

849.09

185.98

356.55

1,422.56

346.76

310.24

Profit for the period

3,192.40

937.37

240.57

5,882.72

1,834.15

220.73

Equity holders of the Company

300.61

131.36

128.84

(84.34)

50.51

(266.98)

Non-controlling interest

94.69

93.79

0.96

(63.01)

40.34

(256.20)

Other comprehensive income for the period

395.30

225.15

75.57

(147.35)

90.85

(262.19)

Earnings per share

Basic/diluted earnings per share (Rs.)

6.18

1.98

211.86

11.77

3.92

199.86

Earnings per share-continuing operation

Basic/diluted earnings per share (Rs.)

6.18

2.01

207.52

11.89

3.97

199.53

The above figures are provisional and unaudited

Figures in brackets indicate deductions

CIC Holdings PLC03

Statements of Financial Position

Company

Group

30th

30th

30th

30th

September

September

31st March

September

September

31st March

As at

2022

2021

2022

2022

2021

2022

(In Rs.Mns)

ASSETS

Non- current assets

Property, plant & equipment

2,402.55

2,201.13

2,436.74

12,630.69

12,029.36

12,749.77

Investment property

-

-

-

2.40

2.40

2.40

Capital work-in-progress

-

-

-

155.50

41.05

107.95

Biological assets

-

-

-

338.80

272.78

311.61

Intangible assets

43.53

48.74

45.02

538.23

377.76

373.18

Deferred tax assets

-

-

-

10.85

21.42

10.85

Investment in subsidiaries

1,927.13

1,619.54

1,619.54

-

-

-

Investment in equity accounted investees

36.00

36.00

36.00

1,283.98

1,096.81

1,185.41

Equity investment at fair value through OCI

2,079.89

256.99

1,228.13

2,087.83

265.63

1,236.50

Deposits with bank

-

-

-

200.29

-

316.19

6,489.10

4,162.40

5,365.43

17,248.57

14,107.21

16,293.86

Current assets

Inventories

3,688.70

1,741.36

1,967.11

15,324.26

6,853.52

9,542.02

Biological assets

-

-

-

419.69

220.28

266.97

Income tax receivables

-

-

-

0.26

48.52

0.30

Trade receivables

2,636.46

2,416.31

2,588.21

5,610.07

4,832.52

4,739.00

Contract assets

70.54

64.42

70.54

70.54

44.52

101.06

Other receivables

2,111.38

274.30

758.18

7,395.47

7,285.80

7,614.67

Equity investment at fair value through OCI

19.44

30.32

23.55

1,864.11

1,985.28

1,996.81

Deposits with bank

1,653.01

836.67

1,290.92

1,783.01

1,728.21

1,812.18

Cash in hand and at bank

388.61

191.03

374.68

1,707.11

1,371.88

2,277.00

10,568.14

5,554.41

7,073.19

34,174.52

24,370.53

28,350.01

Assets classified as held for sale

1,050.06

1,050.06

1,050.06

1,435.38

2,082.75

1,434.34

Assets classified as held for distribution

0.20

0.20

0.20

60.21

36.63

48.96

11,618.40

6,604.67

8,123.45

35,670.11

26,489.91

29,833.31

Total assets

18,107.50

10,767.07

13,488.88

52,918.68

40,597.12

46,127.17

EQUITY AND LIABILITIES

Equity attributable to equity holders of the company

Stated capital

1,008.45

1,008.45

1,008.45

1,008.45

1,008.45

1,008.45

Capital reserves

1,792.67

1,554.20

1,792.67

3,368.50

2,818.35

3,368.50

Revenue reserves

3,736.89

2,505.12

3,232.45

15,998.05

10,461.55

12,133.71

6,538.01

5,067.77

6,033.57

20,375.00

14,288.35

16,510.66

Non-controlling interests

-

-

-

4,815.86

3,420.82

3,603.44

Total equity

6,538.01

5,067.77

6,033.57

25,190.86

17,709.17

20,114.10

Non-current liabilities

Loans and borrowings

74.70

79.58

75.96

322.94

287.88

338.07

Retirement benefit obligations

174.04

176.64

155.62

884.81

830.82

820.07

Grants

-

-

-

6.97

7.53

7.24

Deferred tax liabilities

420.64

352.65

407.85

1,574.23

1,450.17

1,530.37

669.38

608.87

639.43

2,788.95

2,576.40

2,695.75

Current liabilities

Trade payables

1,289.36

1,197.29

2,457.43

3,767.68

4,234.39

9,335.56

Contract liabilities

96.15

87.74

96.14

96.14

104.79

156.29

Income tax payable

232.26

135.66

198.05

1,522.70

306.15

418.05

Accruals and other payables

1,329.93

372.79

719.50

3,357.04

1,633.52

1,891.44

Contigent consideration payable

-

-

-

122.31

-

-

Loans and borrowings

7,952.41

3,296.95

3,344.76

15,409.98

12,857.05

10,951.44

10,900.11

5,090.43

6,815.88

24,275.85

19,135.90

22,752.78

Liabilities classified as held for sale

-

-

-

661.20

1,172.55

562.67

Liabilities classified as held for distribution

-

-

-

1.82

3.10

1.87

10,900.11

5,090.43

6,815.88

24,938.87

20,311.55

23,317.32

Total liabilities

11,569.49

5,699.30

7,455.31

27,727.82

22,887.95

26,013.07

Total equity and liabilities

18,107.50

10,767.07

13,488.88

52,918.68

40,597.12

46,127.17

Net assets per share

17.25

13.37

15.92

53.75

37.69

43.55

The above figures are provisional and unaudited.

I certify that the Financial Statements have been prepared in accordance with the requirements of the Companies Act No.07 of 2007.

(Sgd. ) Erandi Wickramaarachchi

Group Chief Financial Officer

The Board of Directors is responsible for the preparation and presentation of these Financial Statements.

(Sgd.) S H Amarasekera

(Sgd.) P R Saldin

Chairman

Director

21st October 2022

Colombo

CIC Holdings PLC 04

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CIC Holdings plc published this content on 21 October 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 21 October 2022 10:59:03 UTC.