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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Steven Madden Ltd. | TG:SJM | Tradegate | Ordinary Share |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 41.40 | 41.00 | 42.00 | 0.00 | 12:41:38 |
SIMMER AND JACK MINES, LIMITED - RESULTS FOR the FINANCIAL YEAR ENDED 31 MARCH 2003 SIMMER AND JACK MINES, LIMITED (Incorporated in the Republic of South Africa) (Registration number 1924/007778/06) Share code SIM ISIN ZAE000006722 (Simmers or the Company) Directors: R A R Kebble (Chairman), M McChesney (CEO), H C Buitendag, J Stratton (Australian) Abridged consolidated income statement Year ended Year ended 31 March 2003 31 March 2002 (Reviewed) (Audited) R`000 R`000 Revenue 51 909 46 129 Operating costs 44 200 40 884 Gross operating profit 7 709 5 245 Corporate expenses (2 393) (1 974) Operating profit 5 316 3 271 Income from investments 602 126 Finance charges (4 634) (3 698) Net profit/(loss) for the 1 284 (301) year ABRIDGED CONSOLIDATED BALANCE SHEET ASSETS Non- current assets 62 221 53 294 Mining assets 60 677 51 866 Financial assets 1 200 1 200 Environmental Rehabilitation 344 228 Trust Fund Current assets 6 312 12 455 Other current assets 5 297 6 239 Cash and cash equivalents 1 015 6 216 68 533 65 749 EQUITY AND LIABILITIES Equity capital and 36 400 35 116 accumulated loss Shareholders` interest 36 399 35 115 Minority shareholders` 1 1 interest Non-current liabilities 27 026 25 642 Interest bearing loans 310 14 Loan from holding company 26 077 25 052 Environmental rehabilitation 639 576 provision Current liabilities 5 107 4 991 Interest bearing borrowings 259 154 Trade and other payables 4 848 4 837 68 533 65 749 Shares in issue at year-end 215 432 215 432 (`000) Net asset value per share 16,9 16,3 (cents) Headline earnings per share 0,6 (0,1) (cents)* Earnings per share (cents)* 0,6 (0,1) * Based on weighted average number of shares in issue 215 432 215 432 ABRIDGED CONSOLIDATED CASH FLOW STATEMENT Cash flows from operating 6 716 3 198 activities Cash flows from investing (13 237) (468) activities Cash flows from financing 1 320 3 176 activities Net (decrease)/increase in (5 201) 5 906 cash and cash equivalents Cash and cash equivalents at 6 216 310 beginning of year Cash and cash equivalents at 1 015 6 216 end of year Statement of Changes in Equity Non- Share Share distributable Accumulated capital premium reserves profit/ Total (loss) R`000 R`000 R`000 R`000 R`000 Balance at 1 April 4 307 106 543 17 357 (92 792) 35 416 2001 Net loss for the year (301) (301) Transfer of profits (17 358) 17 358 - appropriated for capital Balance at 1 April 4 307 106 543 - (75 735) 35 115 2002 Net profit for the - - - 1 284 1 284 year Balance at 31 March 4 307 106 543 - (74 451) 36 399 2003 Notes: The financial results are prepared on the historical cost basis. Accounting policies adopted by the group are in accordance with South African Statements of Generally Accepted Accounting Practice and are consistent with those of the previous year. The financial results are prepared on the going concern basis. The Company`s auditors, Grant Thornton Kessel Feinstein, have reviewed the financial information for the 12-months ended 31 March 2003. Their report is available at the registered office of the Company. By order of the Board Consolidated Mining Management Services Limited Secretaries Johannesburg 27 June 2003 Transfer secretaries South Africa United Kingdom Computershare Investor Services Limited Capita Registrars Ground Floor The Registry 70 Marshall Street 34 Beckenham Road Johannesburg, 2001 Beckenham Kent BR3 4TU England Registered office Sponsor 3rd Floor River Sponsors (Pty) Limited 28 Harrison Street Suite 201 Johannesburg, 2001 150 Brooks Street Brooklyn, 0181 Pretoria END
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