ADVFN Logo ADVFN

We could not find any results for:
Make sure your spelling is correct or try broadening your search.

Trending Now

Toplists

It looks like you aren't logged in.
Click the button below to log in and view your recent history.

Hot Features

Registration Strip Icon for default Register for Free to get streaming real-time quotes, interactive charts, live options flow, and more.

85GQ Anz Bank 43

0.00
0.00 (0.00%)
Last Updated: -
Delayed by 15 minutes
Name Symbol Market Type
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
  0.00 0.00% 0 -

Annual Financial Report

20/05/2009 7:01am

UK Regulatory



 

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 Year Anz Bank 43 Chart

1 Month Anz Bank 43 Chart

1 Month Anz Bank 43 Chart