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MNHD Madinet Masr For Housing and Development

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Delayed by 15 minutes
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. Half-year Report (4132I)

08/08/2019 10:38am

UK Regulatory


TIDMMNHD

RNS Number : 4132I

Madinet Nasr for Housing & Develop.

08 August 2019

 
          MNHD Summary Financial Results for Half - Year Period Ended 30 
                                     June 2019 
                           Separate Financial Statements 
 Financial Indicators 
                                                       Amounts in Egyptian Pounds 
                                                     ----------------------------- 
          Statement of Income for Period from 1 Jan 2019 to 30 June 2019 
                                  Half - Year Ended     Half - Year       Change 
                                                            Ended 
                                     30-June-19          30-June-18          % 
                                 ------------------  -----------------  ---------- 
 Revenues                         937,387,919         1,022,542,154      -8.33% 
                                 ------------------  -----------------  ---------- 
 Gross Profit                     722,763,322         919,418,365        -15.95% 
                                 ------------------  -----------------  ---------- 
 Gross Profit Margin              82.44%              89.91%             -8.32% 
                                 ------------------  -----------------  ---------- 
 Net Profit Before Tax            660,561,253         741,515,740        -10.92% 
                                 ------------------  -----------------  ---------- 
 Net Profit After Tax             511,268,237         574,388,842        -10.99% 
                                 ------------------  -----------------  ---------- 
 Basic EPS                        0.32                0.37               -13.51% 
                                 ------------------  -----------------  ---------- 
 
                          Statement of Financial Position 
---------------------------------------------------------------------------------- 
 
                                    30- June -19         31-Dec-18       Change % 
-------------------------------  ------------------  -----------------  ---------- 
 Net Working Capital              4,765,817,893       4,011,945,398      18.79% 
                                 ------------------  -----------------  ---------- 
 Total Shareholders' Equity       3,741,316,189       3,334,777,952      12.19% 
                                 ------------------  -----------------  ---------- 
 Paid-in Capital                  1,440,000,000       1,200,000,000      20.00% 
                                 ------------------  -----------------  ---------- 
 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 
                                  Half - Year Ended     Half - Year       Change 
                                                            Ended 
                                                                        ---------- 
                                     30-June-19          30-June-18          % 
                                 ------------------  -----------------  ---------- 
 Cash Flows from Operations       -19,067,669         3,462,151          -650.75% 
                                 ------------------  -----------------  ---------- 
 Cash flows used in Investment    -3,186,902          -5,012,729         36.42% 
                                 ------------------  -----------------  ---------- 
 Cash Flows (used in)/from 
  Finance                         202,740,020         149,182,931        35.9% 
                                 ------------------  -----------------  ---------- 
 
 
             MNHD Summary Financial Results for Half - Year Period Ended 
                                     30 June 2019 
                          Consolidated Financial Statements 
 Financial Indicators 
                                                  Amounts in Egyptian Pounds 
             Consolidated Statement of Income for Period from 1 Jan 2019 
                                    to 30 June 2019 
                                          Half - Year    Half - Year Ended    Change 
                                             Ended 
                                          30-June-19        30- June-18         % 
                                        --------------  ------------------  --------- 
 Revenues                                1,088,739,322   1,266,976,651       -14.07% 
                                                                            --------- 
 Gross Profit                            784,802,874     1,000,242,478       -21.54% 
                                                                            --------- 
 Gross Profit Margin                     72.08%          78,95%              -8.69% 
                                        --------------  ------------------  --------- 
 Net Profit Before Tax                   667,806,617     795,960,849         -16.1% 
                                        --------------  ------------------  --------- 
 Net Profit After Tax                    515,686,103     611,728,733         -15.7% 
                                        --------------  ------------------  --------- 
 Net Profit After Minority 
  Interest                               511,262,805     588,027,861         -13.05% 
                                        --------------  ------------------  --------- 
 Basic EPS                               0.32            0.38                -15.79% 
                                        --------------  ------------------  --------- 
 
                           Statement of Financial Position 
------------------------------------------------------------------------------------- 
 
                                          30-June-19         31-Dec-18        Change 
                                                                                 % 
                                        --------------  ------------------  --------- 
 Net Working Capital                     4,934,707,287   4,194,055,726       17.66% 
                                        --------------  ------------------  --------- 
 Total Shareholders' 
  Equity                                 3,867,938,440   3,469,440,127       11.49% 
                                        --------------  ------------------  --------- 
 Paid-in Capital                         1,440,000,000   1,200,000,000       20.00% 
                                        --------------  ------------------  --------- 
 Statutory Reserve                       223,961,329     170,478,648         31.37% 
                                        --------------  ------------------  --------- 
 Retained Earnings                       1,598,077,281   918,233,758         74.04% 
                                        --------------  ------------------  --------- 
 
                               Statement of Cash Flows 
                                          Half - Year       Half - Year       Change 
                                             Ended             Ended 
                                                                            --------- 
                                          30-June-19        30-June-18          % 
                                        --------------  ------------------  --------- 
 Cash Flows from Operations              2,792,073       25,127,980          -88.89% 
                                        --------------  ------------------  --------- 
 Cash flows used in Investment           -4,414,598      -10,608,909         58.39% 
                                        --------------  ------------------  --------- 
 Cash Flows (used in)/from 
  Finance                                196.817.587     149,005,050         32.09% 
                                        --------------  ------------------  --------- 
 
 
 

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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August 08, 2019 05:38 ET (09:38 GMT)

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