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Name | Symbol | Market | Type |
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Anz Bank 43 | LSE:85GQ | London | Medium Term Loan |
Price Change | % Change | Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Traded | Last Trade | |
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0.00 | 0.00% | 0 | - |
TIDM85GQ RNS Number : 5389S Nippon Sheet Glass Company Limited 20 May 2009 FY2009 Annual Consolidated Financial Results 20 May 2009 (English translation of the Japanese original) Consolidated financial statements (1) Balance sheet +---------------------------------------------------+------------------+-----------------+ | | FY2008 | FY2009 | +---------------------------------------------------+------------------+-----------------+ | | JPY million | JPY million | +---------------------------------------------------+------------------+-----------------+ | ASSETS | | | +---------------------------------------------------+------------------+-----------------+ | Current assets | | | +---------------------------------------------------+------------------+-----------------+ | Cash and deposits | 127,928 | 94,979 | +---------------------------------------------------+------------------+-----------------+ | Notes and account receivables - trade | 145,560 | 94,291 | +---------------------------------------------------+------------------+-----------------+ | Inventories | 119,488 | - | +---------------------------------------------------+------------------+-----------------+ | Merchandise and finished goods | - | 69,335 | +---------------------------------------------------+------------------+-----------------+ | Work in Process | - | 10,352 | +---------------------------------------------------+------------------+-----------------+ | Raw materials and supplies | - | 34,139 | +---------------------------------------------------+------------------+-----------------+ | Deferred tax assets (current) | 7,375 | 974 | +---------------------------------------------------+------------------+-----------------+ | Other current assets | 26,412 | 24,977 | +---------------------------------------------------+------------------+-----------------+ | Allowance for doubtful accounts | (4,830) | (3,815) | +---------------------------------------------------+------------------+-----------------+ | Total: Current assets | 421,935 | 325,231 | +---------------------------------------------------+------------------+-----------------+ | | | | +---------------------------------------------------+------------------+-----------------+ | Fixed assets | | | +---------------------------------------------------+------------------+-----------------+ | Tangible assets | | | +---------------------------------------------------+------------------+-----------------+ | Buildings and structures | 157,260 | 147,014 | +---------------------------------------------------+------------------+-----------------+ | Accumulated depreciation | (76,559) | (79,334) | +---------------------------------------------------+------------------+-----------------+ | Buildings and structures - net | 80,700 | 67,679 | +---------------------------------------------------+------------------+-----------------+ | Machinery and vehicles | 389,523 | 366,197 | +---------------------------------------------------+------------------+-----------------+ | Accumulated depreciation | (172,112) | (188,927) | +---------------------------------------------------+------------------+-----------------+ | Machinery and vehicles - net | 217,410 | 177,270 | +---------------------------------------------------+------------------+-----------------+ | Tools and dies | 42,190 | 41,603 | +---------------------------------------------------+------------------+-----------------+ | Accumulated depreciation | (22,279) | (25,200) | +---------------------------------------------------+------------------+-----------------+ | Tools and dies - net | 19,910 | 16,403 | +---------------------------------------------------+------------------+-----------------+ | Land | 54,041 | 46,483 | +---------------------------------------------------+------------------+-----------------+ | Leased assets | - | 8,089 | +---------------------------------------------------+------------------+-----------------+ | Accumulated depreciation | - | (3,136) | +---------------------------------------------------+------------------+-----------------+ | Leased assets - net | - | 4,953 | +---------------------------------------------------+------------------+-----------------+ | Construction in progress | 3,410 | 4,690 | +---------------------------------------------------+------------------+-----------------+ | Total: Tangible fixed assets | 375,474 | 317,478 | +---------------------------------------------------+------------------+-----------------+ | | | | +---------------------------------------------------+------------------+-----------------+ | Intangible assets | | | +---------------------------------------------------+------------------+-----------------+ | Goodwill | 181,167 | 132,882 | +---------------------------------------------------+------------------+-----------------+ | Other intangible assets | 171,506 | 127,283 | +---------------------------------------------------+------------------+-----------------+ | Total: Intangible fixed assets | 352,674 | 260,165 | +---------------------------------------------------+------------------+-----------------+ | | | | +---------------------------------------------------+------------------+-----------------+ | Investments and other assets | | | +---------------------------------------------------+------------------+-----------------+ | Investments | 99,867 | 55,935 | +---------------------------------------------------+------------------+-----------------+ | Loan receivable (non-current) | 9,083 | - | +---------------------------------------------------+------------------+-----------------+ | Prepaid expenses (non-current) | 2,193 | - | +---------------------------------------------------+------------------+-----------------+ | Deferred tax assets (non-current) | 51,431 | 48,363 | +---------------------------------------------------+------------------+-----------------+ | Other non-current assets | 7,616 | 19,382 | +---------------------------------------------------+------------------+-----------------+ | Allowance for doubtful accounts | (987) | (1,334) | +---------------------------------------------------+------------------+-----------------+ | Total: Investments and other assets | 169,205 | 122,347 | +---------------------------------------------------+------------------+-----------------+ | Total: Fixed assets | 897,354 | 699,989 | +---------------------------------------------------+------------------+-----------------+ | Total : Assets | 1,319,290 | 1,025,221 | +---------------------------------------------------+------------------+-----------------+ | LIABILITIES | | | +---------------------------------------------------+------------------+-----------------+ | Current liabilities | | | +---------------------------------------------------+------------------+-----------------+ | Notes and accounts payable - trade | 98,955 | 61,902 | +---------------------------------------------------+------------------+-----------------+ | Short-term bank borrowings | 92,956 | 84,784 | +---------------------------------------------------+------------------+-----------------+ | Bonds maturing within one year | 10,000 | - | +---------------------------------------------------+------------------+-----------------+ | Accounts payable (construction and other) | 22,788 | - | +---------------------------------------------------+------------------+-----------------+ | Accrued Japanese consumption tax | 672 | - | +---------------------------------------------------+------------------+-----------------+ | Accrued expenses | 36,893 | - | +---------------------------------------------------+------------------+-----------------+ | Deposits from customers | 3,793 | - | +---------------------------------------------------+------------------+-----------------+ | Lease obligations | - | 3,038 | +---------------------------------------------------+------------------+-----------------+ | Accrued income tax | 16,732 | 19,369 | +---------------------------------------------------+------------------+-----------------+ | Deferred tax liabilities (current) | 2 | 3 | +---------------------------------------------------+------------------+-----------------+ | Provision for employees' bonuses | 2,530 | 2,458 | +---------------------------------------------------+------------------+-----------------+ | Provision for directors' bonuses | 135 | 8 | +---------------------------------------------------+------------------+-----------------+ | Provision for losses incurring from enhanced | 12,519 | 245 | | early retirement program | | | +---------------------------------------------------+------------------+-----------------+ | Provision arising from alleged violation of | 49,992 | - | | competition law of the European Union | | | +---------------------------------------------------+------------------+-----------------+ | Provision for Netherland fine | - | 2,590 | +---------------------------------------------------+------------------+-----------------+ | Provision for warranties and claims | 7,322 | 4,968 | +---------------------------------------------------+------------------+-----------------+ | Provision for restructuring expenditure | - | 10,941 | +---------------------------------------------------+------------------+-----------------+ | Provision for German minority interest | - | 3,192 | +---------------------------------------------------+------------------+-----------------+ | Other current liabilities | 34,480 | 75,817 | +---------------------------------------------------+------------------+-----------------+ | Total: Current liabilities | 389,775 | 269,315 | +---------------------------------------------------+------------------+-----------------+ | Non-current liabilities | | | +---------------------------------------------------+------------------+-----------------+ | Bonds | 33,000 | 60,000 | +---------------------------------------------------+------------------+-----------------+ | Long-term bank borrowings | 320,452 | 273,557 | +---------------------------------------------------+------------------+-----------------+ | Lease obligations | - | 4,943 | +---------------------------------------------------+------------------+-----------------+ | Deferred tax liabilities (non-current) | 90,413 | 62,271 | +---------------------------------------------------+------------------+-----------------+ | Accrued retirement benefits for employees | 75,026 | 62,808 | +---------------------------------------------------+------------------+-----------------+ | Accrued retirement benefits for directors | 436 | 183 | +---------------------------------------------------+------------------+-----------------+ | Provision for rebuilding furnaces | 9,763 | 10,159 | +---------------------------------------------------+------------------+-----------------+ | Environmental provision | 7,247 | 6,531 | +---------------------------------------------------+------------------+-----------------+ | Other non-current liabilities | 21,176 | 18,232 | +---------------------------------------------------+------------------+-----------------+ | Total: Non-current liabilities | 557,516 | 498,683 | +---------------------------------------------------+------------------+-----------------+ | Total : Liabilities | 947,291 | 767,998 | +---------------------------------------------------+------------------+-----------------+ | NET ASSETS | | | +---------------------------------------------------+------------------+-----------------+ | Shareholders' Equity | | | +---------------------------------------------------+------------------+-----------------+ | Common stock | 96,147 | 96,147 | +---------------------------------------------------+------------------+-----------------+ | Capital surplus | 105,292 | 105,287 | +---------------------------------------------------+------------------+-----------------+ | Retained earnings | 152,097 | 118,159 | +---------------------------------------------------+------------------+-----------------+ | Treasury stocks - at cost | (541) | (585) | +---------------------------------------------------+------------------+-----------------+ | Total: Shareholders' equity | 352,995 | 319,009 | +---------------------------------------------------+------------------+-----------------+ | Valuation and translation adjustments | | | +---------------------------------------------------+------------------+-----------------+ | Unrealized holding gain on securities | 9,194 | 2,339 | +---------------------------------------------------+------------------+-----------------+ | Net unrealized loss on derivative instruments | (127) | (10,756) | +---------------------------------------------------+------------------+-----------------+ | Foreign currency translation adjustments | (3,626) | (63,944) | +---------------------------------------------------+------------------+-----------------+ | Total: Valuation and translation adjustments | 5,439 | (72,361) | +---------------------------------------------------+------------------+-----------------+ | Stock Options | 253 | 493 | +---------------------------------------------------+------------------+-----------------+ | Minority interests in consolidated subsidiaries | 13,310 | 10,082 | +---------------------------------------------------+------------------+-----------------+ | Total: Net assets | 371,998 | 257,223 | +---------------------------------------------------+------------------+-----------------+ | Total: Liabilities and Net Assets | 1,319,290 | 1,025,221 | +---------------------------------------------------+------------------+-----------------+ (2) Income statement +----------------------------------------------------+-----------+----------+---------+-----------+ | | FY2008 | FY2009 | +----------------------------------------------------+----------------------+---------------------+ | | JPY million | JPY million | +----------------------------------------------------+----------------------+---------------------+ | Net sales | | 865,587 | | 739,365 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Cost of sales | | 594,379 | | 537,269 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Gross Income | | 271,208 | | 202,095 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Selling, general and administrative expenses | | 224,746 | | 200,187 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Operating income | | 46,462 | | 1,908 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Non-operating income | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Interest and dividend income | 9,645 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Interest income | - | | 6,787 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Dividend income | - | | 1,471 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Equity in earnings of affiliates | 10,257 | | 1,585 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Other non-operating income | 1,785 | 21,688 | 1,526 | 11,369 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Non-operating expense | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Interest expense | 25,497 | | 19,956 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Foreign exchange loss | - | | 2,807 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Other non-operating expense | 12,216 | 37,713 | 2,773 | 25,537 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Ordinary income/(loss) | | 30,437 | | (12,259) | +----------------------------------------------------+-----------+----------+---------+-----------+ | Extraordinary income | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Gain from sale of fixed assets | 2,679 | | 1,337 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Gain from sale of investments in securities | 13,414 | | 7,720 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Gain from sale of investments in subsidiaries and | 12 | | 30,023 | | | affiliates | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Gain from sale of discontinued operation | 30,831 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Income from discontinued operations | 497 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Insurance income | 1,761 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Gain incurred from prior year adjustments | 2,072 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Other | - | 51,268 | 813 | 38,893 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Extraordinary loss | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Loss on sales and retirement of non current assets | 1,574 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Loss on retirement of non current assets | - | | 1,106 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Loss on sales of non current assets | - | | 714 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Impairment of fixed assets | 1,699 | | 9,899 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Revaluation of investments in securities | 474 | | 1,388 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Loss from sale of investments in securities | 3 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Revaluation of investments in subsidiaries and | 1,206 | | - | | | affiliates | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Liquidation of investments in subsidiaries and | 58 | | - | | | affiliates | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Loss from revaluation and sale of golf playing | 164 | | - | | | rights | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Special support for early retirees | 614 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Provision for loss deriving from enhanced early | 12,519 | | - | | | retirement program | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Loss from revaluation of inventories | 843 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Loss incurred due to withdrawal of business | 288 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Loss arising on notification of EC fine | - | | 7,773 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Restructuring expenditure | - | | 15,375 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Other | - | 19,447 | 4,895 | 41,149 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Net income/(loss) before taxation and minority | | 62,258 | | (13,515) | | interest | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Income tax - current | 13,800 | | 17,999 | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Previous year tax adjustments | 1,195 | | - | | +----------------------------------------------------+-----------+----------+---------+-----------+ | Income tax - deferred | (5,411) | 9,584 | (5,167) | 12,833 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Minority interest in net income of subsidiaries | | 2,256 | | 2,044 | +----------------------------------------------------+-----------+----------+---------+-----------+ | Net income/(loss) | | 50,416 | | (28,392) | +----------------------------------------------------+-----------+----------+---------+-----------+ | | | | | | +----------------------------------------------------+-----------+----------+---------+-----------+ (3) Movement in net assets +----+----+----+----+--------------------------+--------------------------+------------------+------------------+ | | | | | | | | | +----+----+----+----+--------------------------+--------------------------+------------------+------------------+ | | | | | | | FY2008 | FY2009 | | | | | | | | JPY million | JPY million | +----+----+----+----+--------------------------+--------------------------+------------------+------------------+ | | Shareholders' equity | | | +----+--------------------------------------------------------------------+------------------+------------------+ | | | Capital stock | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Balance at the end of previous period | 96,147 | 96,147 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Changes of items during the period | | | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | | Total changes of items during the period | - | - | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | Balance at the end of current period | 96,147 | 96,147 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | Capital surplus | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Balance at the end of previous period | 105,289 | 105,292 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Changes of items during the period | | | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | | Disposal of treasury stock | 2 | -5 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Total changes of items during the period | 2 | -5 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | Balance at the end of current period | 105,292 | 105,287 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | Retained earnings | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Balance at the end of previous period | 105,914 | 152,097 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Changes of items during the period | | | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | | Dividends from surplus | -4,010 | -4,009 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Net income/(loss) | 50,416 | -28,392 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | New inclusion of a subsidiary | -223 | -1,537 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Total changes of items during the period | 46,183 | -33,939 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | Balance at the end of current period | 152,097 | 118,159 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | Treasury stock | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Balance at the end of previous period | -450 | -541 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Changes of items during the period | | | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | | Purchase of treasury stock | -99 | -67 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Disposal of treasury stock | 8 | 24 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Total changes of items during the period | -91 | -43 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | Balance at the end of current period | -541 | -585 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | Total shareholders' equity | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Balance at the end of previous period | 306,900 | 352,995 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Changes of items during the period | | | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | | Dividends from surplus | -4,010 | -4,009 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Net income/(loss) | 50,416 | -28,392 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Purchase of treasury stock | -99 | -67 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Disposal of treasury stock | 10 | 19 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | New inclusion of a subsidiary | -223 | -1,537 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Total changes of items during the period | 46,094 | -33,986 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | Balance at the end of current period | 352,995 | 319,009 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | Valuation and translation adjustments | | | +----+--------------------------------------------------------------------+------------------+------------------+ | | | Valuation difference on available-for-sale securities | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Balance at the end of previous period | 25,881 | 9,194 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Changes of items during the period | | | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | | Net changes of items other than shareholders' | -16,687 | -6,855 | | | | | | equity | | | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Total changes of items during the period | -16,687 | -6,855 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | Balance at the end of current period | 9,194 | 2,339 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | Deferred gains or losses on hedges | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Balance at the end of previous period | -3,048 | -127 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Changes of items during the period | | | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | | Net changes of items other than shareholders' | 2,920 | -10,628 | | | | | | equity | | | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Total changes of items during the period | 2,920 | -10,628 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | Balance at the end of current period | -127 | -10,756 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | Foreign currency translation adjustment | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Balance at the end of previous period | 7,507 | -3,626 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Changes of items during the period | | | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | | Net changes of items other than shareholders' | -11,134 | -60,318 | | | | | | equity | | | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Total changes of items during the period | -11,134 | -60,318 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | Balance at the end of current period | -3,626 | -63,944 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | Total valuation and translation adjustments | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Balance at the end of previous period | 30,340 | 5,439 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Changes of items during the period | | | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | | Net changes of items other than shareholders' | -24,901 | -77,801 | | | | | | equity | | | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | | Total changes of items during the period | -24,901 | -77,801 | +----+----+----+----+-----------------------------------------------------+------------------+------------------+ | | | | Balance at the end of current period | 5,439 | -72,361 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | Subscription rights to shares | | | +----+--------------------------------------------------------------------+------------------+------------------+ | | | Balance at the end of previous period | 26 | 253 | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | Changes of items during the period | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Net changes of items other than shareholders' equity | 227 | 239 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Total changes of items during the period | 227 | 239 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | Balance at the end of current period | 253 | 493 | +----+----+---------------------------------------------------------------+------------------+------------------+ | | Minority interests | | | +----+--------------------------------------------------------------------+------------------+------------------+ | | | Balance at the end of previous period | 13,357 | 13,310 | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | Changes of items during the period | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Net changes of items other than shareholders' equity | -47 | -3,228 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Total changes of items during the period | -47 | -3,228 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | Balance at the end of current period | 13,310 | 10,082 | +----+----+---------------------------------------------------------------+------------------+------------------+ | | Total net assets | | | +----+--------------------------------------------------------------------+------------------+------------------+ | | | Balance at the end of previous period | 350,625 | 371,998 | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | Changes of items during the period | | | +----+----+---------------------------------------------------------------+------------------+------------------+ | | | | Dividends from surplus | -4,010 | -4,009 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Net income/(loss) | 50,416 | -28,392 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Purchase of treasury stock | -99 | -67 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Disposal of treasury stock | 10 | 19 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | New inclusion of a subsidiary | -223 | -1,537 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Net changes of items other than shareholders' equity | -24,721 | -80,789 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | | Total changes of items during the period | 21,373 | -114,776 | +----+----+----+----------------------------------------------------------+------------------+------------------+ | | | Balance at the end of current period | 371,998 | 257,223 | +----+----+----+----+--------------------------+--------------------------+------------------+------------------+ (4) Cash flow statement +-------------------------------------------------------------+--------------+--+--------------+--+ | | FY2008 | | FY2009 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | | JPY million | | JPY million | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Cash flows from operating activities: | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Income/(loss) before income taxes and minority interests | 62,258 | | (13,515) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Adjustments for: | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Depreciation and amortization (excluding goodwill) | 63,615 | | 57,772 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Amortization of goodwill | 10,330 | | 8,486 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Loss on impairment of fixed assets | 1,699 | | 9,899 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Allowance for doubtful debts | (236) | | (198) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Provision for bonuses | 124 | | - | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Accrued retirement benefits | 6,052 | | (16,682) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Provision for repairs | - | | 395 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | EC automotive glass provision | - | | (43,448) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | German minority interest provision | - | | 3,967 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Netherland fine provision | - | | 3,219 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Restructuring expenditure provision | - | | 13,296 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | (Gain)/loss on retirement of non current assets | - | | 483 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | (Gain)/loss on sale of investments in securities | (13,414) | | (7,662) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | (Gain)/loss on valuation of investment securities | - | | 1,388 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | (Gain)/loss on sale of discontinuing operations | (30,831) | | - | | +-------------------------------------------------------------+--------------+--+--------------+--+ | (Gain)/loss on sale of stocks of subsidiaries and | - | | (30,023) | | | affiliates | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Profits from discontinued operations | - | | (1,585) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Interest and dividend income | (9,645) | | (8,258) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Interest expense | 25,497 | | 19,956 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | (Increase) decrease of note and account receivable | (4,023) | | 37,271 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | (Increase) decrease of inventories | (9,263) | | (9,971) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Increase (decrease) of note and account payable | 9,872 | | (30,290) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Other, net | (14,494) | | (6,820) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Sub total | 97,541 | | (12,321) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Interest and dividend income received | 12,927 | | 10,861 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Interest paid | (27,100) | | (19,518) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Income taxes paid | (33,974) | | (11,619) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Net cash provided by operating activities | 49,394 | | (32,597) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Cash flows from investing activities: | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Payments into time deposits | - | | (196) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Withdrawals from time deposits | - | | 994 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Purchase of investment securities | (49) | | (671) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Sales of investment securities | 15,463 | | 9,705 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Acquisition of investments in subsidiaries and | (7,231) | | (2,559) | | | affiliates | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Sale of investments in subsidiaries and affiliates | 43 | | 42,639 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Proceeds from sale of discontinued operations | 66,105 | | - | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Purchase of non current assets | (46,636) | | - | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Purchase of property, plant and equipment | - | | (42,635) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Sales of property, plant and equipment | 3,965 | | 3,722 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Purchase of intangible assets | - | | (473) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Movement in short term loans receivable | - | | (6,727) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Payments of long term loans receivable | - | | (115) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Other, net | (2,190) | | (1,095) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Net cash provided by (used in) investing activities | 29,471 | | 2,589 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Cash flows from financing activities: | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Increase / (Decrease) in short-term borrowings | 1,385 | | (22,902) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Proceeds from long-term loan payable | 25,177 | | 98,160 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Repayment of long-term loan payable | (104,071) | | (65,858) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Repayment of finance lease obligations | - | | (3,847) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Proceeds from issuance of bonds | - | | 26,828 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Redemption of bonds | - | | (10,000) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Cash dividends paid | (4,026) | | (4,009) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Cash dividends paid to minority shareholders | - | | (2,465) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Other, net | (2,081) | | (68) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Net cash provided by (used in) financing activities | (83,616) | | 15,840 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Effect of foreign exchange rate on cash and cash | (13,101) | | (15,709) | | | equivalents | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Net decrease in cash and cash equivalents | (17,852) | | (29,878) | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Opening cash and cash equivalents at 1 April | 159,762 | | 103,293 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Decrease due to change in scope of cash and cash | (38,711) | | - | | | equivalents | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Increase due to change in scope of consolidation | 96 | | 2,182 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | Closing cash and cash equivalents at 31 March | 103,293 | | 75,598 | | +-------------------------------------------------------------+--------------+--+--------------+--+ | | | | | | +-------------------------------------------------------------+--------------+--+--------------+--+ End This information is provided by RNS The company news service from the London Stock Exchange END FR SEISESSUSEII
1 Year Anz Bank 43 Chart |
1 Month Anz Bank 43 Chart |
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