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MNHD Madinet Masr For Housing and Development

0.00
0.00 (0.00%)
Name Symbol Market Type
Madinet Masr For Housing and Development LSE:MNHD London Depository Receipt
  Price Change % Change Price Bid Price Offer Price High Price Low Price Open Price Traded Last Trade
  0.00 0.00% 0 -

Madinet Nasr for Housing & Develop. 3rd Quarter Results (1328S)

04/11/2019 9:17am

UK Regulatory


TIDMMNHD

RNS Number : 1328S

Madinet Nasr for Housing & Develop.

04 November 2019

 
                  MNHD Summary financial results for the period ended 30 September 
                                                2019 
                                   Separate Financial Statements 
 Financial Indicators 
                                                                                Amounts in Egyptian 
                                                                                              Pound 
                                                                      ----------------------------- 
 
 Statement of Income for the period from 1 January 2019 to 30 September 
  2019 
                                      From 1 January           From 1 January            Change 
                                    2019 to 30 September     2018 to 30 September 
                                            2019                     2018 
                                                                                           % 
                                                                                    --------------- 
 Revenues                          1,184,170,537           1,725,348,975                    -31.37% 
                                  ----------------------  ------------------------  --------------- 
 Gross Profit                      967,234,961             1,286,724,793                    -24.83% 
                                  ----------------------  ------------------------  --------------- 
 Gross Profit Margin               81.68%                  74.58%                             9.52% 
                                  ----------------------  ------------------------  --------------- 
 Net Profit Before Tax             789,485,702             1,046,105,992                    -24.53% 
                                  ----------------------  ------------------------  --------------- 
 Net Profit After Tax              613,288,228             816,746,282                      -24.91% 
                                  ----------------------  ------------------------  --------------- 
 Basic EPS                         0.37                    0.51                             -27.45% 
                                  ----------------------  ------------------------  --------------- 
 
 Statement of Financial Position at 30 September 2019 
--------------------------------------------------------------------------------------------------- 
 
                                       30 September              31 December            Change % 
                                            2019                     2018 
                                  ----------------------  ------------------------  --------------- 
 Net Working Capital               5,492,868,277           4,011,945,398                     36.91% 
                                  ----------------------  ------------------------  --------------- 
 Total Shareholders' Equity        3,843,336,180           3,334,777,952                     15.25% 
                                  ----------------------  ------------------------  --------------- 
 Paid-in Capital                   1,440,000,000           1,200,000,000                       20 % 
                                  ----------------------  ------------------------  --------------- 
 Statutory Reserve                 223,961,329             170,478,648                       31.37% 
                                  ----------------------  ------------------------  --------------- 
 Retained Earnings                 1,566,086,623           894,645,685                       75.05% 
                                  ----------------------  ------------------------  --------------- 
 
 
 Statement of Cash Flows for the period from 1 January 2019 to 30 
  September 2019 
--------------------------------------------------------------------------------------------------- 
                                      From 1 January           From 1 January            Change 
                                    2019 to 30 September     2018 to 30 September 
                                            2019                     2018 
                                  ----------------------  ------------------------ 
                                                                                           % 
                                  ----------------------  ----------  ------------  --------------- 
 Cash from operating activities    16,238,468              286,720,041                      -94.34% 
                                  ----------------------  ------------------------  --------------- 
 Cash used in investing 
  activities                       (5,417,488)             (6,212,631)                        12.8% 
                                  ----------------------  ------------------------  --------------- 
 Cash from financing activities    311,542,743             17,846,986                      1645.63% 
                                  ----------------------  ------------------------  --------------- 
 
 
 
                MNHD Summary Financial Results for the period ended 30 September 
                                               2019 
                                Consolidated Financial Statements 
 Financial Indicators 
                                                                       Amounts in Egyptian Pound 
 
 Consolidated Statement of Income for the Period from 1 January 2019 
  to 30 September 2019 
                                   From 1 January        From 1 January             Change 
                                      2019 to 30       2018 to 30 September 
                                    September 2019             2018 
                                                                                       % 
                                                                              ------------------ 
 Revenues                          1,439,022,710     2,059,866,185                       -30.14% 
                                                                              ------------------ 
 Gross Profit                      992,214,152       1,384,170,613                       -28.32% 
                                                                              ------------------ 
 Gross Profit Margin               68.95%            67.2%                                 2.61% 
                                  ----------------  ------------------------  ------------------ 
 Net Profit Before Tax             810,637,332       1,118,694,781                       -27.54% 
                                  ----------------  ------------------------  ------------------ 
 Net Profit After Tax              630,985,047       869,073,362                          -27.4% 
                                  ----------------  ------------------------  ------------------ 
 Net Profit After Minority 
  Interest                         625,562,822       840,303,225                         -25.56% 
                                  ----------------  ------------------------  ------------------ 
 Basic EPS                         0.37              0.53                                -30.19% 
                                  ----------------  ------------------------  ------------------ 
 Consolidated Statement of Financial Position at 30 September 2019 
------------------------------------------------------------------------------------------------ 
 
                                    30 September           31 December             Change % 
                                         2019                  2018 
                                  ----------------  ------------------------  ------------------ 
 Net Working Capital               5,684,631,194     4,194,055,726                        35.54% 
                                  ----------------  ------------------------  ------------------ 
 Total Shareholders' Equity        3,983,237,384     3,469,440,127                        14.81% 
                                  ----------------  ------------------------  ------------------ 
 Paid-in Capital                   1,440,000,000     1,200,000,000                           20% 
                                  ----------------  ------------------------  ------------------ 
 Statutory Reserve                 223,961,329       170,478,648                          31.37% 
                                  ----------------  ------------------------  ------------------ 
 Retained Earnings                 1,598,077,281     918,233,758                          74.04% 
                                  ----------------  ------------------------  ------------------ 
 
 Consolidated Statement of Cash Flows for the Period from 1 January 
  2019 to 30 September 2019 
------------------------------------------------------------------------------------------------ 
                                   From 1 January        From 1 January             Change 
                                      2019 to 30       2018 to 30 September 
                                    September 2019             2018 
                                  ----------------  ------------------------ 
                                                                                       % 
                                  ----------------  --------------  --------  ------------------ 
 Cash from operating activities    43,417,895        310,028,256                            -86% 
                                  ----------------  ------------------------  ------------------ 
 Cash used in investing 
  activities                       (6,730,093)       (14,455,818)                        -53.44% 
                                  ----------------  ------------------------  ------------------ 
 Cash from financing activities    305,620,310       17,669,105                         1629.69% 
                                  ----------------  ------------------------  ------------------ 
 
 

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.

END

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November 04, 2019 04:17 ET (09:17 GMT)

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