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 default Register for Free to get streaming real-time quotes, interactive charts, live options flow, and more.

MNHD Madinet Masr For Housing and Development

0.00
0.00 (0.00%)
Last Updated: -
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. Summary Financial Results for year ended 31Dec2019 (7694C)

12/02/2020 10:24am

UK Regulatory


TIDMMNHD

RNS Number : 7694C

Madinet Nasr for Housing & Develop.

12 February 2020

 
         MNHD Summary Financial Results for year ended 31 December 2019 
                     Separate Audited Financial Statements 
 Financial Indicators 
                                                    Amounts in Egyptian Pounds 
                                                  ----------------------------- 
       Separate Statement of Income for Period from 1 Jan 2019 to 31 Dec 
                                      2019 
                                    Year Ended        Year Ended       Change 
                                    31-Dec-19         31-Dec-18           % 
                                 ---------------  -----------------  ---------- 
 Revenues                          1,790,225,918      2,380,532,841      -24.8% 
                                 ---------------  -----------------  ---------- 
 Gross Profit                      1,492,190,727      1,686,435,891     -11.52% 
                                 ---------------  -----------------  ---------- 
 Gross Profit Margin                      83.35%             70.84%      17.66% 
                                 ---------------  -----------------  ---------- 
 Net Profit Before Tax             1,216,149,344      1,368,625,178     -11.14% 
                                 ---------------  -----------------  ---------- 
 Net Profit After Tax                934,889,256      1,069,653,619      -12.6% 
                                 ---------------  -----------------  ---------- 
 Basic EPS                                  0.58               0.67     -13.43% 
                                 ---------------  -----------------  ---------- 
 
 
           Separate Statement of Financial Position as of 31 Dec 2019 
------------------------------------------------------------------------------- 
 
                                    31-Dec-19         31-Dec-18       Change % 
-------------------------------  ---------------  -----------------  ---------- 
 Net Working Capital              6,322,845,,408      4,011,945,398       57.6% 
                                 ---------------  -----------------  ---------- 
 Total Shareholders' Equity       4,164,,937,208      3,334,777,952      24.89% 
                                 ---------------  -----------------  ---------- 
 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% 
                                 ---------------  -----------------  ---------- 
 Net Profit for the year             934,889,256      1,069,653,619      -12.6% 
                                 ---------------  -----------------  ---------- 
 
 
         Separate Statement of Cash Flows for Period from 1 Jan 2019 to 
                                   31 Dec 2019 
                                    Year Ended        Year Ended       Change 
                                                                     ---------- 
                                    31-Dec-19         31-Dec-18           % 
                                 ---------------  -----------------  ---------- 
 Cash Flows From Operations           34,420,974        332,839,749     (89.6%) 
                                 ---------------  -----------------  ---------- 
 Cash flows Used in Investment      (32,563,329)       (93,850,092)       65.3% 
                                 ---------------  -----------------  ---------- 
 Cash Flows From Finance             692,133,318         46,293,817       1395% 
                                 ---------------  -----------------  ---------- 
 
 
             MNHD Summary Financial Results for year Ended 31 December 
                                        2019 
                     Consolidated Audited Financial Statements 
 Financial Indicators 
                                                  Amounts in Egyptian Pounds 
            Consolidated Statement of Income for Period from 1 Jan 2019 
                                   to 31 Dec 2019 
                                     Year ended        Year ended        Change 
                                     31-Dec-19          31-Dec-18           % 
                                -------------------  --------------  -------------- 
 Revenues                             2,200,628,226   2,782,727,509         -20.92% 
                                                                     -------------- 
 Gross Profit                         1,560,257,050   1,790,378,992          -12.85 
                                                                     -------------- 
 Gross Profit Margin                         70.90%          64.34%          10.20% 
                                -------------------  --------------  -------------- 
 Net Profit Before Tax                1,295,089,918   1,428,262,936          -9.32% 
                                -------------------  --------------  -------------- 
 Net Profit After Tax                 1,000,995,614   1,110,376,648          -9.85% 
                                -------------------  --------------  -------------- 
 Basic EPS                                     0.62            0.68          -8.82% 
                                -------------------  --------------  -------------- 
 
             Consolidated Statement of Financial Position as of 31 Dec 
                                        2019 
----------------------------------------------------------------------------------- 
 
                                     31-Dec-19          31-Dec-18       Change % 
                                -------------------  --------------  -------------- 
 Net Working Capital                  6,573,651,290   4,194,055,726          56.74% 
                                -------------------  --------------  -------------- 
 Total Shareholders' 
  Equity                             4,355,167,,956   3,469,440,127          25.53% 
                                -------------------  --------------  -------------- 
 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                    1,599,997,287     918,233,758          74.25% 
                                -------------------  --------------  -------------- 
 
             Consolidated Statement of Cash Flows for Period from 1 Jan 
                                 2019 to 31 Dec 2019 
                                       Year Ended      Year Ended        Change 
                                                                     -------------- 
                                       31-Dec-19        31-Dec-18           % 
                                    ---------------  --------------  -------------- 
 Cash Flows From Operations              39,781,879     271,856,658         (85.4%) 
                                    ---------------  --------------  -------------- 
 Cash Flows Used in Investment         (20,924,733)       (320,552)        (98.47%) 
                                    ---------------  --------------  -------------- 
 Cash Flows From Finance                686,210,885      46,115,935           1388% 
                                    ---------------  --------------  -------------- 
 
 
 

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

NORTTMMTMTBBBLM

(END) Dow Jones Newswires

February 12, 2020 05:24 ET (10:24 GMT)

1 Year Madinet Masr For Housing... Chart

1 Year Madinet Masr For Housing... Chart

1 Month Madinet Masr For Housing... Chart

1 Month Madinet Masr For Housing... Chart