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 discussion Register to chat with like-minded investors on our interactive forums.

HID Hidong Estate Plc

50.00
0.00 (0.00%)
19 Apr 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Hidong Estate Plc LSE:HID London Ordinary Share GB0004251863 ORD 10P
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 50.00 0.00 01:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
Fabricated Rubber Pds, Nec 0 4k 0.0023 217.39 856.67k

Hidong Estate PLC Half-year Report (1645Q)

25/10/2021 12:41pm

UK Regulatory


Hidong Estate (LSE:HID)
Historical Stock Chart


From Apr 2021 to Apr 2024

Click Here for more Hidong Estate Charts.

TIDMHID

RNS Number : 1645Q

Hidong Estate PLC

25 October 2021

Hidong

Estate

PLC

Interim report of shareholders for the half year ended

   30 September   2021 

The r esults for the half year ended 30 September 2021 are given below with appropriate comparative figures:-

Statement of Comprehensive Income for the half year ended 30 September 2021

 
                                      Half year           Half year              Year ended 
                                       ended               ended 
                                        30 Sept 2021        30 Sept 2020        31 Mar 2021 
                                             RM                  RM                  RM 
 
 Administrative expenses                       (77,719)            (42,898)          (293,209) 
 
 Operating loss                                (77,719)            (42,898)          (293,209) 
 Income from investments                         60,303              15,559             78,211 
 Interest receivable and similar 
  income                                        102,092             166,926            273,805 
                                     ------------------  ------------------  ----------------- 
 
 Profit on ordinary activities 
  before taxation                                84,676             139,587             58,807 
 
 Tax on profit on ordinary 
  activities                                   (24,500)            (40,062)           (62,428) 
                                     ------------------  ------------------  ----------------- 
 
   Profit/(loss) for the p 
   eriod                                         60,176              99,525            (3,621) 
                                     ==================  ==================  ================= 
 
 
 Other comprehensive income 
 Unrealised (loss)/gain on 
  investments                                 (315,316)                   -            462,116 
 Total comprehensive (loss)/income 
  for the period                              (255,140)              99,525            458,495 
                                     ==================  ==================  ================= 
 
 
 Basic and diluted profit/(loss)               3.51 sen            5.81 sen         (0.21) sen 
  per 10p share 
                                     ==================  ==================  ================= 
 

Notes:

   1.   The directors do not propose to pay any interim dividend ( 2020 : RM N il). 

2. Copies of the Interim Report are available from the Company's registered office at Neville House Steelpark Road, Halesowen, West Midlands B62 8HD.

   Penang                                                                         CHEW SING GUAN 
   25 October 2021                                                            Chairman 

Hidong

Estate

PLC

   Balance sheet as at 30 September   2021 
 
                                  As at          As at          As at 
                               30 Sept 2021   30 Sept 2020   31 Mar 2021 
                                    RM             RM            RM 
 Fixed assets 
 I nvestments                     1,502,256        939,244     1,532,238 
 
 Current assets 
 Current tax assets                  40,572              -        27,572 
 Accrued interest income             28,576         98,866        33,169 
 Deposits                        10,500,000     10,950,000    10,750,000 
 Cash at bank and in hand           146,212        132,164       232,540 
                              -------------  -------------  ------------ 
                                 10,715,360     11,181,030    11,043,281 
                              =============  =============  ============ 
 Current liabilities 
 Creditors : amount falling 
  due within one year                     -       (13,725)     (110,000) 
                              -------------  -------------  ------------ 
                                          -       (13,725)     (110,000) 
                              =============  =============  ============ 
 
 Net current a ssets             10,715,360     11,167,305    10,933,281 
 
 Net a ssets                     12,217,616     12,106,549    12,465,519 
                              =============  =============  ============ 
 
 
 Capital and reserves 
 Called up share capital          1,067,846      1,067,846     1,067,846 
 Revaluation reserve                188,860         34,823       496,939 
 Profit and loss reserve         10,960,910     11,003,880    10,900,734 
 
 Shareholders' funds             12,217,616     12,106,549    12,465,519 
                              =============  =============  ============ 
 

These financial statements were approved by the Board of Directors on 25 October 2021.

   CHEW SING GUAN                             ) 

)

                                                               )    Directors 

)

   CHEW BEOW SOON                         ) 

Hidong

Estate

PLC

Statement of cash flows for the half year ended 30 September 2 021

 
                                           Half year      Half year     Year ended 
                                              ended          ended 
                                          30 Sept 2021   30 Sept 2020     31 Mar 
                                                                           2021 
                                               RM             RM            RM 
 Cash flows from operating activities 
 Profit/(loss) for the period                   60,176         99,525      (3,621) 
 Adjustments for: 
 Interest receivable and similar 
  income                                     (102,092)      (166,926)    (273,805) 
 Income from investments                      (60,303)       (15,559)     (78,211) 
 Taxation                                       24,500         40,062       62,428 
                                         -------------  -------------  ----------- 
                                              (77,719)       (42,898)    (293,209) 
 (Decrease)/increase in other 
  creditors                                  (110,000)      (100,845)        9,130 
                                         -------------  -------------  ----------- 
                                             (187,719)      (143,743)    (284,079) 
 Tax paid                                     (37,500)       (37,500)    (101,138) 
                                         -------------  -------------  ----------- 
 Net cash used in operating activities       (225,219)      (181,243)    (385,217) 
                                         -------------  -------------  ----------- 
 Cash flows from investing activities 
 
 Income from investments                        55,524         15,559       78,211 
 Interest received                             106,685        171,813      344,390 
 
 Purchase of investments                     (342,484)              -    (130,879) 
 Sale of investments                            69,166              -            - 
 Decrease in deposits                          250,000              -      200,000 
                                         -------------  -------------  ----------- 
 Net cash from investing activities            138,891        187,372      491,722 
                                         -------------  -------------  ----------- 
 Cash flows from financing activities                -              -            - 
                                         -------------  -------------  ----------- 
 Net (decrease)/increase in cash 
  and cash equivalents                        (86,328)          6,129      106,505 
                                         =============  =============  =========== 
 
 Cash and cash equivalents at 
  1 April                                      232,540        126,035      126,035 
 Cash and cash equivalents at 
  30September/31 March                         146,212        132,164      232,540 
 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.

END

IR FEAFFIEFSEDS

(END) Dow Jones Newswires

October 25, 2021 07:41 ET (11:41 GMT)

1 Year Hidong Estate Chart

1 Year Hidong Estate Chart

1 Month Hidong Estate Chart

1 Month Hidong Estate Chart

Your Recent History

Delayed Upgrade Clock