We could not find any results for:
Make sure your spelling is correct or try broadening your search.
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 | - |
RNS Number:1906O Nippon Sheet Glass Company Limited 19 December 2006 Today NSG has amended the Results for the First Half of Fiscal Year 2007 disclosed Nov. 21. 1.Corrections Results for 1st Half of FY 2007 ending September 30,2006 Million Yen (1)Business Result Disclosed Nov.21 Amended Sales 275,259 275,259 Operating profit 8,681 8,589 Income before extra-ordinary items 8,286 7,250 Net income 21,265 20,259 (2)Changes in financial position Disclosed Nov.21 Amended Total assets 1,366,040 1,364,947 Net assets 328,487 327,394 (3)Cobsolidated statement of cash flow Disclosed Nov.21 Amended Net cash generated from operating activities 16,686 15,618 Net cash used in (235,581) (230,355) Net cash generated from (used in) 168,027 182,858 2. Results for the First Half of FY2007(amended) Million yen FY2007 FY2006 First Half First Half Full Year Sales 273,259 127,207 265,888 Operating income 8,589 3,870 8,429 Income before extra-ordinary items 7,250 5,982 10,425 Net income 20,259 3,885 7,764 3. Review of Operations (amended) million yen Net Sales Operating income First Half First Half First Half First Half FY2007 FY2006 FY2007 FY2006 Building Products 131,604 58,880 6,011 2,244 Auto 96,872 26,783 2,018 290 Others 44,782 41,543 552 1,319 (Internal) - - 7 16 Total 273,259 127,207 8,589 3,870 Nippon Sheet Glass Company Limited Consolidated Financial Statement for the First Half of Fiscal Year 2007 (amended) Consolidated Balance Sheet million yen Sep 30, Mar 31, Change Sep 30, 2006 2006 2005 (Asset) Current assets 454,208 288,732 165,476 169,535 Cash and deposits 159,975 180,670 (20,695) 67,352 Notes and account receivables - trade 157,752 59,072 98,680 57,579 Inventories 120,294 37,749 82,544 36,546 Deferred tax assets 3,355 1,863 1,492 1,710 Other current assets 14,201 10,145 4,056 7,456 Provision for bad debts (1,370) (768) (601) (1,110) Fixed assets 910,738 307,231 603,507 279,312 Tangible assets 409,683 119,396 290,286 114,684 Buildings and structures 87,971 38,378 49,593 39,492 Machinery and vehicles 214,624 44,566 170,057 40,636 Tools & fixtures 16,185 4,456 11,729 3,548 Land 60,074 23,030 37,044 24,020 Construction in progress 30,827 8,965 21,861 6,985 Intangible assets 336,453 6,989 329,464 7,544 Good will 109,278 - 109,278 - Other Intangible assets 227,175 6,989 220,185 7,544 Investments and other assets 164,601 180,845 (16,243) 157,083 Investments in securities 143,017 174,006 (30,989) 149,993 Long-term loans receivables 1,170 939 231 1,039 Long-term prepaid expenses 1,492 1,168 324 1,132 Deferred tax assets 751 834 (82) 999 Other assets 19,007 4,270 14,737 4,402 Provision for bad debts (838) (374) (464) *(483) Total assets 1,364,947 595,963 768,983 448,848 Current liabilities 325,529 111,002 214,526 101,255 Notes and accounts payable - trade 85,293 37,357 47,935 34,931 Short-term bank borrowings 117,942 46,703 71,239 42,402 Commercial paper 4,000 - 4,000 - Notes and accounts payable - construction 9,115 5,399 3,715 4,043 Accrued income tax 33,913 3,418 30,494 3,216 Accrued consumption tax 557 257 300 475 Accrued expenses 47,124 7,528 39,596 5,182 Customer's deposits 4,113 4,037 76 4,027 Provision for bonuses to employees 3,881 2,484 1,396 2,706 Provision for bonuses to directors 45 67 (22) - Accrued tax liabilities 1,928 1,206 721 1,258 Other current liabilities 17,614 2,541 15,073 3,009 Fixed liabilities 712,022 243,361 468,661 126,309 Unsecured bonds 20,000 20,000 - 20,000 Convertible bonds 72,000 133,000 (61,000) 23,000 Long-term bank borrowings 422,068 37,220 384,848 39,529 Provision for retirement benefits to employees 90,200 12,022 78,177 13,762 Provision for retirement benefits to directors 1,144 1,187 (43) 812 Provision for rebuilding furnaces 8,930 9,684 (753) 9,004 Consolidation goodwill - 707 (707) 469 Deferred tax liabilities 59,077 28,075 31,002 18,439 Other fixed liabilities 38,601 1,464 37,137 1,291 Minority Interests in consolidated subsidiaries - 3,315 - 2,911 Shareholder's Equity - 238,284 - 218,372 Common stock - 41,060 - 41,060 Capital surplus - 50,374 - 50,373 Retained earnings - 95,791 - 94,196 Unrealized holding gain on securities - 50,338 - 36,724 Translation adjustments - 1,054 - (3,688) Treasury stock - at cost - (335) - (295) Total Liabilities, minority interests and shareholders equity - 595,963 - 448,848 Net Assets 327,394 - - - Shareholder's Equity 258,339 - - - Common stock 71,602 - - - Capital surplus 80,834 - - - Retained earnings 106,286 - - - Treasury stocks - at cost (383) - - - Valuation and translation adjustments 55,713 - - - Unrealized holding gain on securities 23,450 - - - Net unrealized holding loss on derivative instruments (4,825) - - - Foreign currency translation adjustments 37,087 - - - Stock Options 6 - - - Minority interests in consolidated subsidiaries 13,335 - - - Total liabilities and net assets 1,364,947 - - Consolidated Statements of Operations Million yen Half year to Half year to Change Year to Sep. 2006 Sep. 2005 Mar. 2006 Net sales 273,259 127,207 146,052 265,888 Cost of sales 191,813 92,790 99,022 196,948 Selling, general and administrative expenses 72,856 30,546 42,310 60,510 Operating income 8,589 3,870 4,719 8,429 Non-operating income 7,215 5,517 1,697 8,212 Interest and dividend income 1,746 1,074 671 2,270 Equity in earnings of affiliates - 3,813 (3,813) 4,018 Other income 5,469 630 4,838 1,923 Non-operating expense 8,554 3,405 5,149 6,217 Interest expense 3,772 758 3,013 1,607 Equity in losses of affiliates 974 - 974 - Other expense 3,807 2,646 1,161 4,609 Income before extra-ordinary items 7,250 5,982 1,267 10,425 Extra ordinary income 45,510 2,655 42,855 6,644 Gain on sales of property, plant and equipment 960 44 916 1,096 Gain on sales investments in securities 43,078 2,610 40,468 5,548 Gain due to adjustment of repair reserve 1,064 - 1,064 - Gain on sale of operations - subsidiary 406 - 406 - Extra ordinary losses 13,049 3,052 9,996 5,534 Loss on disposal of property, plant, equipment 519 728 (208) 1,322 Loss on impairment of fixed assets 659 360 298 702 Loss on revaluation of investment securities 198 59 139 121 Expenses for acquisition of Pilkington 11,672 - 11,672 1,243 Loss on disposal of inventories - 1,184 (1,184) 1,358 Loss on provision for asbestos related charges - 720 (720) 785 Income before income taxes and minority interests 39,711 5,584 34,126 11,535 Income tax: Current 22,467 2,511 19,956 4,015 Income tax: Deferred (2,565) (901) (1,663) (580) Minority interests (loss) in net income of consolidated subsidiaries (451) 90 (541) 335 Net income 20,259 3,885 16,374 7,764 Consolidated Statement of cash flows Million yen Half year to Half year to Year to Sep. 2006 Sep. 2005 Mar. 2006 Income before income taxes and minority interests 39,711 5,584 11,535 Depreciation and amortization 19,801 6,041 12,961 Loss on impairment of fixed assets 659 360 702 (Decrease) increase in accrued retirement benefits (1,399) 619 (2,093) Gain on sales of investments in securities (43,078) (2,610) (5,548) Interest and dividend income (1,746) (1,074) (2,270) Interest expense 3,772 758 1,607 Decrease (Increase) in notes and accounts receivable 3,863 3,602 3,529 Decrease (Increase) inventories (1,740) (1,544) (2,081) (Decrease) increase in notes and accounts payable (9,217) (5,212) (3,680) Other, net 8,109 (76) 98 Sub total 18,734 6,449 14,760 Interest and dividend income received 3,077 3,331 5,541 Interest paid (3,771) (873) (1,720) Income taxes paid (2,421) (1,688) (3,126) Net cash provided by operating activities 15,618 7,219 15,455 Purchases of property, plant and equipment (17,167) (9,897) (18,590) Proceeds from sales of property, plant and equipment 5,218 364 2,295 Purchases of investments in securities (265,873) (331) (3,027) Proceeds from sales of investments in securities 51,364 3,820 7,565 Other, net (3,897) (564) (392) Net cash provided by (used in) investing activities (230,355) (6,609) (12,149) Increase (decrease) in short-term borrowings (3,270) 5,654 5,420 Issuance of long-term indebtedness 188,077 9,244 13,529 Repayment of long-term indebtedness (3,904) (2,550) (5,317) Issuance of bonds - - 110,000 Redemption of bonds - (9,600) (9,600) Cash dividends paid (1,328) (1,329) (2,658) Dividends paid to minority shareholders (680) - - Other, net 3,964 (107) (148) Net cash provided by (used in) financing activities 182,858 1,312 111,225 Effective of foreign exchange rate on cash and cash equivalents 10,673 568 1,029 Net decrease (increase) in cash and cash equivalents (21,205) 2,490 115,560 Cash and cash equivalents at beginning of the year 179,158 63,512 63,512 Effect of change in scope of consolidation - 85 85 Cash and cash equivalents at the end of the year 157,953 66,089 179,158 This information is provided by RNS The company news service from the London Stock Exchange END IR VKLBFQLBBFBF
1 Year Anz Bank 43 Chart |
1 Month Anz Bank 43 Chart |
It looks like you are not logged in. Click the button below to log in and keep track of your recent history.
Support: +44 (0) 203 8794 460 | support@advfn.com
By accessing the services available at ADVFN you are agreeing to be bound by ADVFN's Terms & Conditions