INTERIM FINANCIAL STATEMENTS
For the Period Ended 31 December 2021
UNITED MOTORS LANKA PLC
INTERIM FINANCIAL STATEMENTS FOR NINE MONTHS ENDED 31 DECEMBER 2021
STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME
Group | Company | ||||||||||||
Un-audited | Un-audited | Variance | Un-audited | Un-audited | Variance | Un-audited | Un-audited | Variance | Un-audited | Un-audited | Variance | ||
9 Months | 9 Months | 3 Months | 3 Months | 9 Months | 9 Months | 3 Months | 3 Months | ||||||
ended | ended | ended | ended | ended | ended | ended | ended | ||||||
31.12.2021 | 31.12.2020 | 31.12.2021 | 31.12.2020 | 31.12.2021 | 31.12.2020 | 31.12.2021 | 31.12.2020 | ||||||
Revenue from contracts with customers | 10,637,205 | 9,534,296 | 11.6% | 3,397,992 | 3,326,957 | 2.1% | 3,662,218 | 5,717,600 | -35.9% | 1,858,627 | 1,896,847 | -2.0% | |
Cost of sales | (8,403,443) | (7,479,209) | -12.4% | (2,466,342) | (2,692,809) | 8.4% | (2,486,504) | (4,015,184) | 38.1% | (1,220,487) | (1,434,938) | 14.9% | |
Gross profit | 2,233,762 | 2,055,087 | 8.7% | 931,650 | 634,148 | 46.9% | 1,175,714 | 1,702,416 | -30.9% | 638,140 | 461,909 | 38.2% | |
Distribution expenses | (270,370) | (295,396) | 8.5% | (108,864) | (99,220) | -9.7% | (135,791) | (168,075) | 19.2% | (59,372) | (48,684) | -22.0% | |
Administrative and other expenses | (1,372,051) | (1,249,268) | -9.8% | (475,824) | (430,382) | -10.6% | (1,064,552) | (1,052,715) | -1.1% | (367,623) | (362,703) | -1.4% | |
Other income | 93,469 | 81,905 | 14.1% | 17,356 | 28,739 | -39.6% | 136,889 | 95,519 | 43.3% | 33,875 | 33,093 | 2.4% | |
Profit from operating activities | 684,810 | 592,328 | 15.6% | 364,318 | 133,285 | 173.3% | 112,260 | 577,145 | -80.5% | 245,020 | 83,615 | 193.0% | |
Finance income | 119,604 | 109,114 | 9.6% | 48,012 | 60,951 | -21.2% | 192,214 | 145,535 | 32.1% | 74,133 | 71,433 | 3.8% | |
Finance cost | (51,143) | (309,278) | 83.5% | 7,061 | (51,815) | 113.6% | (27,076) | (189,438) | 85.7% | (3,284) | (38,608) | 91.5% | |
Net finance income/(cost) | 68,461 | (200,164) | 134.2% | 55,073 | 9,136 | 502.8% | 165,138 | (43,903) | 476.1% | 70,849 | 32,825 | 115.8% | |
Profit before income tax expense | 753,271 | 392,164 | 92.1% | 419,391 | 142,421 | 194.5% | 277,398 | 533,242 | -48.0% | 315,869 | 116,440 | 171.3% | |
Income tax expense | (182,322) | (143,654) | -26.9% | (96,170) | (34,572) | -178.2% | (72,295) | (142,184) | 49.2% | (74,486) | (34,082) | -118.6% | |
Profit for the period | 570,949 | 248,510 | 129.7% | 323,221 | 107,849 | 199.7% | 205,103 | 391,058 | -47.6% | 241,383 | 82,358 | 193.1% | |
Other comprehensive income | |||||||||||||
Items that will never be reclassified to profit or loss | |||||||||||||
Changes in the fair value of equity investments at fair value | |||||||||||||
through other comprehensive income | 29,230 | 132,777 | 19,662 | 55,600 | 18,473 | 104,950 | 11,854 | 47,401 | |||||
Other comprehensive income for the period | 29,230 | 132,777 | 19,662 | 55,600 | 18,473 | 104,950 | 11,854 | 47,401 | |||||
Total comprehensive income for the period | 600,179 | 381,287 | 342,883 | 163,449 | 223,576 | 496,008 | 253,237 | 129,759 | |||||
Profit attributable to: | |||||||||||||
Owners of United Motors Lanka PLC | 570,949 | 248,510 | 323,221 | 107,849 | 205,103 | 391,058 | 241,383 | 82,358 | |||||
Profit for the period | 570,949 | 248,510 | 323,221 | 107,849 | 205,103 | 391,058 | 241,383 | 82,358 | |||||
Total comprehensive income attributable to: | |||||||||||||
Owners of United Motors Lanka PLC | 600,179 | 381,287 | 342,883 | 163,449 | 223,576 | 496,008 | 253,237 | 129,759 | |||||
Total comprehensive income for the period | 600,179 | 381,287 | 342,883 | 163,449 | 223,576 | 496,008 | 253,237 | 129,759 | |||||
Basic earnings per share (LKR.) | 5.66 | 2.46 | 3.20 | 1.07 | 2.03 | 3.88 | 2.39 | 0.82 |
Note:
All amounts are in LKR.'000s, unless otherwise stated.
Figures in brackets indicate deductions.
1
UNITED MOTORS LANKA PLC
INTERIM FINANCIAL STATEMENTS FOR NINE MONTHS ENDED 31 DECEMBER 2021
STATEMENT OF FINANCIAL POSITION
Group | Company | |||||||
Un-audited | Audited | Un-audited | Audited | |||||
As at | 31.12.2021 | 31.03.2021 | 31.12.2021 | 31.03.2021 | ||||
Assets | ||||||||
Non-current assets | ||||||||
Property, plant & equipment | 7,769,361 | 7,836,020 | 7,155,298 | 7,190,990 | ||||
Investment property | - | - | 521,260 | 521,260 | ||||
Intangible assets | 198,036 | 220,119 | 195,124 | 216,992 | ||||
Right-of-use assets | 305,841 | 265,208 | 113,737 | 212,415 | ||||
Investments in subsidiaries | - | - | 222,400 | 222,400 | ||||
Financial assets at fair value through other comprehensive income | 274,877 | 258,864 | 229,667 | 211,519 | ||||
Reimbursable right | 46,833 | 46,833 | 41,885 | 41,885 | ||||
Deferred tax assets | 400,461 | 507,080 | 172,335 | 189,714 | ||||
Total non-current assets | 8,995,409 | 9,134,124 | 8,651,706 | 8,807,175 | ||||
Current assets | ||||||||
Inventories | 4,427,651 | 3,383,961 | 1,717,759 | 1,427,937 | ||||
Trade and other receivables | 2,954,889 | 2,065,783 | 965,464 | 764,046 | ||||
Amounts due from related parties | - | - | 61,093 | 380,206 | ||||
Current tax receivables | 28,731 | 8,657 | - | - | ||||
Other financial assets at amortised cost | - | - | 1,839,000 | - | ||||
Financial assets at fair value through profit or loss | 1,226,065 | 3,309,783 | 1,156,050 | 3,309,783 | ||||
Cash and cash equivalents | 533,083 | 851,744 | 303,957 | 644,512 | ||||
Total current assets | 9,170,419 | 9,619,928 | 6,043,323 | 6,526,484 | ||||
Total assets | 18,165,828 | 18,754,052 | 14,695,029 | 15,333,659 | ||||
Equity and liabilities | ||||||||
Equity | ||||||||
Stated capital | 336,335 | 336,335 | 336,335 | 336,335 | ||||
Capital reserve | 5,380,532 | 5,380,532 | 5,017,658 | 5,017,658 | ||||
Other components of equity | 1,391,491 | 1,364,572 | 1,424,318 | 1,405,852 | ||||
Retained earnings | 6,690,906 | 6,218,547 | 6,659,027 | 6,554,818 | ||||
Total equity attributable to the equity holders of the parent | 13,799,264 | 13,299,986 | 13,437,338 | 13,314,663 | ||||
Non-current liabilities | ||||||||
Interest bearing borrowings | - | 3,150 | - | - | ||||
Employee benefit obligations | 312,267 | 282,299 | 275,663 | 251,995 | ||||
Lease liabilities | 176,790 | 180,985 | 57,844 | 74,651 | ||||
Deferred tax liabilities | 305,816 | 315,655 | 271,010 | 291,749 | ||||
Total non-current liabilities | 794,873 | 782,089 | 604,517 | 618,395 | ||||
Current liabilities | ||||||||
Interest bearing borrowings | 587,706 | 2,103,829 | - | 500,411 | ||||
Trade and other payables | 2,719,591 | 2,319,162 | 401,356 | 619,915 | ||||
Lease liabilities | 124,407 | 100,363 | 68,608 | 152,423 | ||||
Amounts due to related parties | - | - | 64,526 | 2,841 | ||||
Current tax liabilities | 69,764 | 76,941 | 67,593 | 76,454 | ||||
Bank overdrafts | 70,223 | 71,682 | 51,091 | 48,557 | ||||
Total current liabilities | 3,571,691 | 4,671,977 | 653,174 | 1,400,601 | ||||
Total liabilities | 4,366,564 | 5,454,066 | 1,257,691 | 2,018,996 | ||||
Total equity and liabilities | 18,165,828 | 18,754,052 | 14,695,029 | 15,333,659 | ||||
Net assets per share -LKR | 136.76 | 131.81 | 133.17 | 131.96 |
Note:
All amounts are in LKR.'000s, unless otherwise stated.
I certify that these interim financial statements are in compliance with the requirements of the Companies Act No. 07 of 2007.
Thushara Jayasekara
Group Chief Financial Officer
The Board of Directors is responsible for the preparation and presentation of these interim financial statements.
Devaka Cooray | Chanaka Yatawara |
Chairman | Group Chief Executive Officer / Executive Director |
10-Feb-2022 | |
Colombo |
2
UNITED MOTORS LANKA PLC
INTERIM FINANCIAL STATEMENTS FOR NINE MONTHS ENDED 31 DECEMBER 2021
STATEMENT OF CHANGES IN EQUITY
Stated Capital | Capital | Other Components of Equity | Retained | Total | ||||
Reserve | Development | Property, | General | FVOCI | Earnings | Equity | ||
Reserve | Plant & Equipment | Reserves | Reserve | |||||
Replacement Reserve | ||||||||
LKR '000 | LKR '000 | LKR '000 | LKR '000 | LKR '000 | LKR '000 | LKR '000 | LKR '000 | |
Group | ||||||||
Balance as at 01.04.2020 | 336,335 | 5,258,843 | 785,400 | 308,900 | 466,250 | (315,323) | 5,881,039 | 12,721,444 |
Profit for the nine months ended 31.12.2020 | 248,510 | 248,510 | ||||||
Other comprehensive income for the nine months period | ||||||||
Net change in equity investments at fair value through other comprehensive income | 132,777 | - | 132,777 | |||||
Net gain on disposal of equity investments at fair value through other comprehensive income | (1,199) | 1,199 | - | |||||
Total comprehensive income for the period | - | - | - | - | - | 131,578 | 249,709 | 381,287 |
Transactions with owners in their capacity as owners : | ||||||||
Interim dividend paid 2020 / 2021 | (151,351) | (151,351) | ||||||
Balance as at 31.12.2020 | 336,335 | 5,258,843 | 785,400 | 308,900 | 466,250 | (183,745) | 5,979,397 | 12,951,380 |
Profit for the three months ended 31.03.2021 | 255,165 | 255,165 | ||||||
Other comprehensive income for the three months period | ||||||||
Re-measurements of post employment benefit obligations | (23,663) | (23,663) | ||||||
Deferred tax on re-measurements of post employment benefit obligations | 4,301 | 4,301 | ||||||
Net change in equity investments at fair value through other comprehensive income | (8,886) | - | (8,886) | |||||
Net gain on disposal of equity investments at fair value through other comprehensive income | (3,347) | 3,347 | - | |||||
Revaluation of land | 135,210 | - | 135,210 | |||||
Deferred tax on revaluation of land | (13,521) | - | (13,521) | |||||
Total comprehensive income for the period | - | 121,689 | - | - | - | (12,233) | 239,150 | 348,606 |
Balance as at 31.03.2021 | 336,335 | 5,380,532 | 785,400 | 308,900 | 466,250 | (195,978) | 6,218,547 | 13,299,986 |
Profit for the nine months ended 31.12.2021 | 570,949 | 570,949 | ||||||
Other comprehensive income for the nine months period | ||||||||
Net change in equity investments at fair value through other comprehensive income | 29,230 | - | 29,230 | |||||
Net gain on disposal of equity investments at fair value through other comprehensive income | (2,311) | 2,311 | - | |||||
Total comprehensive income for the period | - | - | - | - | - | 26,919 | 573,260 | 600,179 |
Transactions with owners in their capacity as owners : | ||||||||
Final dividend paid 2020 / 2021 | (100,901) | (100,901) | ||||||
Balance as at 31.12.2021 | 336,335 | 5,380,532 | 785,400 | 308,900 | 466,250 | (169,059) | 6,690,906 | 13,799,264 |
Notes:
All amounts are in LKR.'000s, unless otherwise stated.
Figures in the brackets indicate deduction.
3
UNITED MOTORS LANKA PLC
INTERIM FINANCIAL STATEMENTS FOR NINE MONTHS ENDED 31 DECEMBER 2021
STATEMENT OF CHANGES IN EQUITY
Stated Capital | Capital | Other Components of Equity | Retained | Total | ||||
Reserve | Development | Property, | General | FVOCI | Earnings | Equity | ||
Reserve | Plant & Equipment | Reserves | Reserve | |||||
Replacement Reserve | ||||||||
LKR '000 | LKR '000 | LKR '000 | LKR '000 | LKR '000 | LKR '000 | LKR '000 | LKR '000 | |
Company | ||||||||
Balance as at 01.04.2020 | 336,335 | 4,904,258 | 785,400 | 308,900 | 466,250 | (248,338) | 5,952,596 | 12,505,401 |
Profit for the nine months ended 31.12.2020 | 391,058 | 391,058 | ||||||
Other comprehensive income for the nine months period | ||||||||
Net change in equity investments at fair value through other comprehensive income | 104,950 | - | 104,950 | |||||
Total comprehensive income for the period | - | - | - | - | - | 104,950 | 391,058 | 496,008 |
Transactions with owners in their capacity as owners : | ||||||||
Interim dividend paid 2020 / 2021 | (151,351) | (151,351) | ||||||
Balance as at 31.12.2020 | 336,335 | 4,904,258 | 785,400 | 308,900 | 466,250 | (143,388) | 6,192,303 | 12,850,058 |
Profit for the three months ended 31.03.2021 | 375,581 | 375,581 | ||||||
Other comprehensive income for the three months period | ||||||||
Re-measurements of post employment benefit obligations | (20,502) | (20,502) | ||||||
Deferred tax on re-measurements of post employment benefit obligations | 3,662 | 3,662 | ||||||
Net change in equity investments at fair value through other comprehensive income | - | - | - | - | - | (7,536) | - | (7,536) |
Net gain on disposal of equity investments at fair value through other comprehensive income | (3,774) | 3,774 | - | |||||
Revaluation of land | 126,000 | 126,000 | ||||||
Deferred tax on revaluation of land | (12,600) | (12,600) | ||||||
Total comprehensive income for the period | - | 113,400 | - | - | - | (11,310) | 362,515 | 464,605 |
Balance as at 31.03.2021 | 336,335 | 5,017,658 | 785,400 | 308,900 | 466,250 | (154,698) | 6,554,818 | 13,314,663 |
Profit for the nine months ended 31.12.2021 | 205,103 | 205,103 | ||||||
Other comprehensive income for the nine months period | ||||||||
Net change in equity investments at fair value through other comprehensive income | 18,473 | - | 18,473 | |||||
Net gain on disposal of equity investments at fair value through other comprehensive income | (7) | 7 | - | |||||
Total comprehensive income for the period | - | - | - | - | - | 18,466 | 205,110 | 223,576 |
Transactions with owners in their capacity as owners : | ||||||||
Final dividend paid 2020 / 2021 | (100,901) | (100,901) | ||||||
Balance as at 31.12.2021 | 336,335 | 5,017,658 | 785,400 | 308,900 | 466,250 | (136,232) | 6,659,027 | 13,437,338 |
Notes:
All amounts are in LKR.'000s, unless otherwise stated.
Figures in the brackets indicate deduction.
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United Motors Lanka plc published this content on 10 February 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 10 February 2022 11:50:06 UTC.