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Name | Symbol | Market | Type |
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Citi Fun 24 | LSE:BD25 | 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 | - |
RNS Number:6701Y Ashpol PLC 13 May 2004 ASHPOL PLC Group Profit & Loss Account For the Six Months Ended 14 February 2004 Group Group Group Year to 6 Months to 6 Months to 14-Aug-03 14-Feb-04 14-Feb-03 #'000 #'000 #'000 9,699 Rental Income 5,675 5,293 (472) Property outgoings (171) (95) 9,227 Net rental income 5,504 5,198 (274) Administrative expenses (67) (265) 8,953 Operating profit 5,437 4,933 828 Profit on sale of investment properties 355 802 9,781 Profit on ordinary activities before interest 5,792 5,735 (8,172) Interest payable (3,461) (3,556) 1,348 Interest receivable 384 183 6,824 Net Interest payable (3,077) (3,373) 2,957 Profit on ordinary activities before taxation 2,715 2,362 (579) Tax on profit on ordinary activities (255) - 2,378 Profit on ordinary activities after taxation 2,460 2,362 (104) Dividends (including non-equity) (53) (57) 2,274 Retained profit 2,407 2,305 Group Balance Sheet At 14 February 2004 Group Group Group 14-Aug-03 14-Feb-04 14-Feb-03 #'000 #'000 #'000 Fixed Assets Tangible Assets 119,484 Investment properties 119,848 110,200 119,484 119,848 110,200 Current assets 16,810 Debtors 18,976 14,960 898 Cash at bank 432 10,444 17,708 19,408 25,404 (3,909) Creditors falling due within one year (3,565) (2,561) 13,799 Net current assets 15,843 22,843 133,283 Total assets less current liabilities 135,691 132,657 (75,000) Creditors falling due after one year (75,000) (75,000) (657) Provisions for liabilities and charges (657) (386) 57,626 Net assets 60,034 57,657 Capital and reserves 7,378 Called up share capital - equity 7,378 7,378 40,632 - non-equity 40,632 40,632 48,010 48,010 48,010 7,069 Share premium account 7,069 7,069 42 Capital redemption reserve 42 42 2,505 Profit and loss account 4,913 2,536 57,626 60,034 57,657 Group Summarised Cash Flow Statement For the Six Months Ended 14 February 2004 Group Group Group Year to 6 Months to 6 Months to 14-Aug-03 14-Feb-04 14-Feb-03 #'000 #'000 #'000 (477) Net cash inflow from activities 3,282 (2,888) (6,824) Net interest paid (3,077) (3,373) (104) Preference and minority dividends paid (53) (57) - Addition to investment properties - - 16,663 Sale of investment properties (364) 15,835 (9,284) Purchase of business operations - - - Cash acquired - - (26) Net cash (outflow) / inflow before use 445 9,517 of liquid resources and financing Provisions for liabilities and charges (3) Taxation (255) - (29) Increase / (decrease) in cash (466) 9,517 Reconciliation of Operating Profit to Net Cash Flow From Operating Activities Group Group Group Year to 6 Months to 6 Months to 14-Aug-03 14-Feb-04 14-Feb-03 #'000 #'000 #'000 Operating profit 5,437 4,933 8,953 (8,301) (Increase) / decrease in debtors (2,166) (6,451) (1,129) (Decrease) / increase in creditors under one year (344) (2,172) Impairment of fixed asset investment - property - - Profit on sale of investment properties 355 802 - Impairment of Goodwill - - Net cash inflow from operating (477) activities 3,282 (2,888) Basis of Preparation The interim accounts, which have not been audited, have been prepared using accounting policies unchanged from those set out in the Group's 14 August 2003 statutory accounts. The investment properties have not been revalued at 14 February 2004. Dividends Group Group Group Year to 6 Months to 6 Months to 14-Aug-03 14-Feb-04 14-Feb-03 #'000 #'000 #'000 Non-Equity Shares 104 10% Cumulative Preference Shares 53 57 5.75% Convertible Cumulative 104 53 57 Investment Properties #'000 Balance at 15 August 2003 119,484 Additions 364 Disposals - Balance at 14 February 2004 119,848 The properties have not been revalued at 14 February 2004. Borrowings Group Group Group Year to 6 Months to 6 Months to 14-Aug-03 14-Feb-04 14-Feb-03 #'000 #'000 #'000 Repayable as follows: 75,000 After more than five years 75,000 75,000 (898) Cash (579) (36) 74,102 Net Borrowings 74,421 74,964 Company Information Directors W S Benjamin K D McGrath M Pashley I Smith Secretary A M Jacobs Registered Office 5 Wigmore Street London W1U 1PB Registered Number 104394 This information is provided by RNS The company news service from the London Stock Exchange END IR DXLFFZEBLBBF
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