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NOVA Nova Res.

0.125
0.00 (0.00%)
26 Apr 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Nova Res. LSE:NOVA London Ordinary Share BMG667261033 ORD 1P (DI)
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 0.125 0.00 01:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
0 0 N/A 0

Nova Resources Limited Half Yearly Report (6165A)

30/09/2015 7:00am

UK Regulatory


Nova Res. (LSE:NOVA)
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From Apr 2019 to Apr 2024

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TIDMNOVA

RNS Number : 6165A

Nova Resources Limited

30 September 2015

Nova Resources Limited

Interim results for the period ended 30 June 2015

The Board of Nova Resources Limited (AIM: NOVA.L), is pleased to announce its interim results for the six months to 30 June 2015.

   Nova Resources Limited                                                                 07966 332232 

Christopher Morgan, Chairman

   SPARK Advisory Partners Limited (Nominated Adviser)                 0203 368 3554 

Neil Baldwin/Mark Brady

Nova Resources Limited ("the Company")

Chairman's Statement

I have pleasure in presenting our interim report for the period to 30 June 2015.

We have, as expected, incurred a loss for the period of GBP176,000, as the Company continues to control costs whilst developing its current investments. Progress with the current investments in Enerstry Group Ltd ("Enerstry") and Tricor Plc ("Tricor") has been slow, and the Company manages its costs within its available cash resources

The Company continues to receive interim loan repayments from Enerstry, and anticipates that the outstanding balance of the loan of GBP127,000 will be fully recovered by the end of this calendar year.

The Board will continue to seek opportunities that fall within the approved investment policy of the Company.

Christopher Morgan

Chairman.

Nova Resources Limited

Consolidated Comprehensive Income Statement

For the period to 30 June 2015

 
                                     Notes       6 Months       Year to    6 Months 
                                                  30 June   31 December     30 June 
                                                     2015          2014        2014 
                                                Unaudited       Audited   Unaudited 
                                                  GBP000s       GBP000s     GBP000s 
 
 Revenue                                                -             -           - 
 
 Cost of sales                                          -             -           - 
 
                                                                            3/4 3/4 
                                                  3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                              3/4 3/4 3/4       3/4 3/4         3/4 
 Gross (loss) / profit                                  -             -           - 
 
 Administrative expenses                            (176)         (428)       (133) 
                                                                            3/4 3/4 
                                                  3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                              3/4 3/4 3/4       3/4 3/4         3/4 
 Operating loss                        4            (176)         (428)       (133) 
 Loss on disposal of subsidiaries                       -          (97)           - 
 Changes in fair value 
  of available for sale 
  assets                                                -       (2,398)     (2,354) 
                                                                            3/4 3/4 
                                                  3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                              3/4 3/4 3/4       3/4 3/4         3/4 
                                                    (176)       (2,923)     (2,487) 
 Finance income                                         -             -           - 
 Finance expense                                        -             -           - 
                                                                            3/4 3/4 
                                                  3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                              3/4 3/4 3/4       3/4 3/4         3/4 
 Loss before tax from continuing 
  operation                                         (176)       (2,923)     (2,487) 
                                                                            3/4 3/4 
                                                  3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                              3/4 3/4 3/4       3/4 3/4         3/4 
 Total comprehensive loss 
  for the period                                    (176)       (2,923)     (2,487) 
 
 
 Attributable to: 
 - Owners of the parent                             (176)       (2,923)     (2,487) 
 
 
 Loss per share 
 
 From continuing operations: 
 
 Basic and diluted                     6          (0.04p)       (0.82p)     (0.77p) 
 
 

Nova Resources Limited

Consolidated Statement of Financial Position

As at 30 June 2015

 
                                  Notes    6 Months       Year to    6 Months 
                                            30 June   31 December     30 June 
                                               2015          2014        2014 
                                          Unaudited       Audited   Unaudited 
                                            GBP000s       GBP000s     GBP000s 
 Assets 
 
 Non-current assets 
 Financial assets designated 
  at fair value through 
  profit or loss account                        209           209         254 
 Investments                                      1             1           - 
                                            3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                            3/4 3/4           3/4     3/4 3/4 
                                                210           210         254 
                                            3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                            3/4 3/4           3/4     3/4 3/4 
 Current assets 
 Cash and cash equivalents                       28           123           4 
 Trade and other receivables                    127           305         491 
                                            3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                            3/4 3/4           3/4     3/4 3/4 
                                                155           428         495 
                                            3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                            3/4 3/4           3/4     3/4 3/4 
 Total assets                                   365           638         749 
 
 Equity and liabilities 
 
 Capital and reserves 
 Issued capital                               3,928         3,928       3,928 
 Share premium                                4,996         4,996       4,996 
 Loan note equity reserve                        10            10          29 
 Share based payment 
  reserve                                       221           221          23 
 Accumulated deficit                        (9,120)       (8,944)     (8,607) 
                                            3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                            3/4 3/4           3/4     3/4 3/4 
 Total equity                                    35           211         369 
                                            3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                            3/4 3/4           3/4     3/4 3/4 
 Non Current liabilities 
 Non-interest bearing 
  loans                                         104           104          85 
                                            3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                            3/4 3/4           3/4     3/4 3/4 
                                                104           104          85 
                                            3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                            3/4 3/4           3/4     3/4 3/4 
 Current liabilities 
 Trade and other payables                       226           273         214 
 Convertible loan                                 -            50          81 
                                            3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                            3/4 3/4           3/4     3/4 3/4 
                                                226           323         295 
                                            3/4 3/4   3/4 3/4 3/4     3/4 3/4 
                                            3/4 3/4           3/4     3/4 3/4 
 Total equity and liabilities                   365           638         749 
 
 

Nova Resources Limited

Consolidated Statement of Cash Flows

For the period to 30 June 2015

 
                                                        Year to 
                                       Period to    31 December       Period to 
                                    30 June 2015           2014    30 June 2014 
                                       Unaudited        Audited       Unaudited 
 
                                         GBP000s        GBP000s         GBP000s 
 
 Operating activities                       (95)          (325)           (561) 
 
 Investing activities 
 
 Disposable of subsidiaries                    -           (97)               - 
 Acquisition of fixed asset                    -            (1)               - 
  investments 
 
 Financing activities 
 Proceeds from issue of 
  shares                                       -            516             516 
 Proceeds of issue of loan 
  note                                         -             30              30 
                                         3/4 3/4    3/4 3/4 3/4     3/4 3/4 3/4 
                                     3/4 3/4 3/4        3/4 3/4         3/4 3/4 
 Net cash inflow/(outflow)                  (95)            123            (15) 
 
 Effects of changes in exchange                -              -               - 
  rates 
 Cash and cash equivalents 
  at the beginning of the 
  period                                     123              -              19 
                                         3/4 3/4    3/4 3/4 3/4     3/4 3/4 3/4 
                                     3/4 3/4 3/4        3/4 3/4         3/4 3/4 
 Bank balances and cash                       28            123               4 
 
 
 

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