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EAM Energy Asset

0.15
0.00 (0.00%)
Last Updated: 01:00:00
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Energy Asset LSE:EAM London Ordinary Share GB00B06LR386 ORD 1P
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 0.15 0.00 01:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
0 0 N/A 0

Interim Results

30/09/2008 7:00am

UK Regulatory


    RNS Number : 5775E
  Energy Asset Management PLC
  30 September 2008
   

    Energy Asset Management Plc
    ("EAM" or the "Company")

    Interim Results for the Six Months Ended 30 June 2008

    Highlights
    The Group has:

    *     enjoyed record levels of activity;
    *     begun to benefit from its high operational gearing;
    *     traded profitably since February 2008, before accounting for share option costs ; and
    *     continued to achieve contract awards.

    Chairman's Statement
    The business continues to negotiate and win long term contracts; the historical mobilization delays experienced previously on these
contracts no longer seem to apply and momentum is now gathering to a level where meter installations are being completed at a rate currently
in excess of 450-500 per month and which is steadily increasing. This sustained increase has allowed EAL's operating profit to remain
positive during most months of the first half of the year. This trading improvement has had a dramatic impact on reducing the loss incurred
in the comparable period of last year. 

    Financial Results
    In the six months to 30 June 2008 the Group's loss after taxation is £42,488 (before a share option charge of a further £56,573)
compared to a loss for the first six months of 2007 of £584,910 representing a total loss per share to 30 June 2008 of 0.03p (2007- loss
0.25p).  The directors are confident that the orders currently in the pipeline will ensure this modest loss will be recovered before the
year-end.

    Current Activity
    The demand for Meter Asset Management ("MAM") and Automatic Meter Reading ("AMR") services continues to grow both from Gas Suppliers and
Gas Users and the Group continues in negotiation to secure further significant contracts. The Group has also demonstrated its ability to
complete the installation of metering systems and to successfully commission these systems to the satisfaction of its clients.  

    The Group continues to develop its multi-utility energy solution addressing Gas, Electricity and Water remote Automatic Meter Reading.

    The Future
    The Directors are satisfied with the progress being made and remain enthusiastic about the prospects for the business especially given
the importance now being attached by energy users, the government and the public to the efficient use of energy. We look forward to
reporting further progress.

    John Shaw

    Non-Executive Chairman
    30 September 2008




    Financials
         Energy Asset Management Plc
       Consolidated Income Statement 
 for the six month period ended 30 June 2008

                                       Note        30-Jun        30-Jun         31-Dec
                                                     2008          2007           2007
                                                        £             £              £
                                               Unaudited     Unaudited         Audited
                                                                         
 Revenue                                          816,699       261,288        667,860
 Cost of sales                                  (268,942)     (136,072)      (360,374)
                                                                         
 Gross Profit                                     547,757       125,216        307,486
 Operating expenses                             (649,359)     (767,877)    (1,363,668)
                                                                         
 Operating loss                                 (101,602)     (642,661)    (1,056,182)
 Finance Income                                     2,541         1,178          4,893
                                                                         
 Loss before taxation                            (99,061)     (641,483)    (1,051,289)
 Taxation                                               -             -              -
                                                                         
 Loss after taxation                             (99,061)     (641,483)    (1,051,289)
                                                                         
 Retained loss for the period                    (99,061)     (641,483)    (1,051,289)
                                                                         
 Attributable to                                                         
 Equity holders of the Company                   (99,061)     (648,928)    (1,058,734)
 Minority interest                                      -         7,445          7,445
                                                                         
 Retained loss for the period                    (99,061)     (641,483)    (1,051,289)
                                                                         
 Loss per share basic and diluted (p)     2        (0.03)        (0.25)         (0.39)

  
 Energy Asset Management Plc
 Consolidated Balance Sheet
     As at 30 June 2008

                                                  30-Jun         30-Jun         31-Dec
                                                    2008           2007           2007
                                                       £              £              £
                                              Unaudited      Unaudited         Audited
 Assets                                                                  
                                                                         
 Non current assets                                                      
 Property, plant and equipment                1,153,631        173,090        476,092 
 Intangible assets- Goodwill                    745,475        745,475        745,475 
 Total non current assets                     1,899,106        918,565      1,221,567 
 Current assets                                                          
 Trade and other receivables                    465,883        203,847         95,200 
 Cash and cash equivalents                      215,648        108,882         17,101 
 Inventories                                    136,125         124,395       131,984 
 Total current assets                           817,656        437,124        244,285 
                                                                         
 Total Assets                                 2,716,762      1,355,689      1,465,852 
                                                                         
                                                                         
 Equity and liabilities                                                  
 attributable to equity holders                                          
 of the Company                                                          
                                                                         
 Share capital and reserves                                              
 Issued capital                                3,327,684      2,787,684      2,787,684
 Share premium account                         1,145,899      1,163,929      1,163,929
 Reserves                                    (3,568,956)    (3,173,235)    (3,526,468)
 Total Equity                                    904,627       778,378        425,145 
                                                                         
 Non-current liabilities Borrowings            1,050,587              -        425,374
                                                                         
 Current liabilities                                                     
 Borrowings                                       70,649              -         40,605
 Trade and other payables                        690,899       577,311        574,728 
 Total current liabilities                       761,548        577,311        615,333
                                                                         
 Total equity and liabilities                  2,716,762     1,355,689       1,465,852

  
  Energy Asset Management Plc
 Statement in Changes in Equity


      
                                          Share       Share     Retained  Minority       Total
                                        Capital     Premium     Earnings  Interest      Equity
                                              £           £            £         £           £
                                                                                              
 6 months to June 2007                                                                        
 Balance at 1 January 2007            2,467,684   1,083,929  (2,580,880)   (7,445)     963,288
 Loss for the period attributable             -           -    (648,928)         -   (648,928)
  to equity holders
 Loss for the period attributable             -           -            -     7,445       7,445
 to minority interest
 Share based payments                         -           -       56,573         -      56,573
 Shares issued                          320,000      80,000            -         -     400,000
                                                                                              
 Balance at 30 June 2007              2,787,684   1,163,929  (3,173,235)         -     778,378
                                                                                              
                                                                                              
 6 months to June 2008                                                                        
 Balance at 1 January 2008            2,787,684   1,163,929  (3,526,468)         -     425,145
 Loss for the period attributable             -           -     (99,061)         -    (99,061)
  to equity holders
 Share based payments                         -           -       56,573         -      56,573
 Shares issued                          540,000           -            -         -     540,000
 Share issue costs                            -    (18,030)            -              (18,030)
                                                                                              
 Balance at 30 June 2008              3,327,684   1,145,899  (3,568,956)         -     904,627

  
  
  

  
      Energy Asset Management Plc
   Consolidated Cash Flow Statement
 For the six months ended 30 June 2008

    
                                                               30-Jun        30-Jun          31-Dec
                                                                 2008          2007            2007
                                                                    £             £               £
                                                            Unaudited     Unaudited         Audited
 Cash flows from operating activities                                                              
 Operating loss for the year as per income statement        (101,602)     (642,661)     (1,056,182)
 Depreciation of non current assets                            29,696         5,832          22,576
 Share based payments                                          56,573        56,573         113,146
                                                             (15,333)     (580,256)       (920,460)
 Movements in working capital                                                                      
 Increase in trade and other receivables                    (370,683)     (150,512)        (41,865)
 Increase in inventories                                      (4,141)     (115,035)       (122,624)
 Increase in trade and other payables                         116,171       462,929         460,346
 Net cash outflow from operations                           (273,986)     (382,874)       (624,603)
                                                                                                   
 Cash flows from investing activities                                                              
 Interest received                                              2,541         1,178           4,893
 Purchase of non current assets                             (707,235)     (158,517)       (478,263)
 Net cash outflow from investing activities                 (704,694)     (157,339)       (473,370)
                                                                                                   
 Cash flows from financing activities                                                              
 Net proceeds from issue of equity shares                     521,970       400,000         400,000
 Inflow from new leases                                       683,614             -         475,853
 Capital element of finance lease rental payments            (28,357)             -         (9,874)
 Net cash flows from financing activities                   1,177,227       400,000         865,979
                                                                                                   
 Net increase/(decrease) in cash and cash equivalents         198,547     (140,213)       (231,994)
                                                                                                   
 Cash and cash equivalents at the beginning of period          17,101       249,095         249,095
                                                                                                   
 Cash and cash equivalents at end of period                   215,648       108,882          17,101

  



    Notes to the unaudited financial statements

    1.  Basis of Preparation
    The interim financial statements of the Group for the six months ended 30 June 2008 have been prepared on a going concern basis in
accordance with the recognition and measurement principles of International Financial Reporting Standards (IFRSs) endorsed by the European
Union and the AIM Rules for Companies. The interim financial statements have been prepared on a basis consistent with the accounting
policies set out in the Group's consolidated annual financial statements for the year ended 31 December 2007. They have not been audited, do
not include all the information required for full annual financial statements, and should be read in conjunction with the Group's
consolidated annual financial statements for the year ended 31 December 2007. The report of the auditors on those consolidated annual
financial statements was unqualified. This information does not constitute statutory accounts as defined in section 240 of the Companies Act
1985.
    As permitted, the Group has chosen not to adopt IAS 34 "Interim Financial Statements" in preparing this interim financial information.

    2. Loss per share 
    The loss per share has been calculated by dividing the loss after taxation of £99,061 by the weighted average number of Ordinary Shares
in issue for the period of 328,021,130 (2007- 263,917,554). The diluted loss per share is the same as the basic loss per share as the
options that were in existence have an anti-dilutive effect on the loss per share and therefore have not been taken into account..

    3. Dividend
    No dividend is recommended. 

    4. Share capital 
    At 30 June 2008 the Company had 332,768,383 Ordinary shares of 1p each in issue. (2006 - 278,768,383).


    For further information please contact:

    Energy Asset Management Plc
    John Shaw, Non-Executive Chairman
Tel: 07973 826613
Alan McKeating, Managing Director
Tel: 07843 231372


    Ruegg & Co Limited
    Gavin Burnell
Tel: 0207 584 3663

This information is provided by RNS
The company news service from the London Stock Exchange
 
  END 
 
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