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Name | Symbol | Market | Type |
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Qnb Fin 26 | LSE:59CK | London | Medium Term Loan |
Price Change | % Change | Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Traded | Last Trade | |
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0.00 | 0.00% | 0 | - |
RNS No 1285w NEW CENTRAL WITWATERSRAND AREAS LIMITED 13th October 1997 NEW CENTRAL WITWATERSRAND AREAS LIMITED (Incorporated in the Republic of South Africa) Registration No. 05/4747/06 INTERIM RESULTS AND DIVIDEND ANNOUNCEMENT FOR THE SIX MONTHS ENDED 30 SEPTEMBER 1997 (UNAUDITED) INCOME STATEMENT Six Six months months Year ended ended ended (R000) 30.9.97 30.9.96 31.3.97 --------------------------------------------------------------------- Investment income 2 834 2 403 4 610 Interest earned 355 95 188 Administration expenses (326) (262) (480) Grants - educational and welfare (46) (37) (41) --------------------------------------------------------------------- Headline earnings 2 817 2 199 4 277 Surplus on realisation of investments* 5 440 - - --------------------------------------------------------------------- Total net earnings 8 257 2 199 4 277 --------------------------------------------------------------------- Earnings per share - cents - headline earnings 159.5 124.5 242.1 - total net earnings 467.4 124.5 242.1 --------------------------------------------------------------------- Dividends per share - cents 159.0 122.0 241.0 --------------------------------------------------------------------- BALANCE SHEET At At At 30.9.97 30.9.96 31.3.97 Shareholder's equity 16 818 11 394 11 370 Current liabilities 3 195 2 458 2 429 --------------------------------------------------------------------- 20 013 13 852 13 799 --------------------------------------------------------------------- Represented by: Investments 11 780 11 790 11 790 Mineral rights at nominal value of R1 - - - Cash resources 7 871 1 736 982 Other current assets 362 326 1 027 --------------------------------------------------------------------- 20 013 13 852 13 799 --------------------------------------------------------------------- Market value of listed investments 126 531 149 962 144 608 Number of shares in issue - 000 1 766 1 766 1 766 Net asset value per share - cents after providing for dividend and based on the market value of listed investments and mineral rights at nominal value 7 448 8 467 8 163 --------------------------------------------------------------------- *The surplus on realisation of investments arises from the sale, in May 1997, of 100,000 JCI Limited shares to Saflife Limited. NOTICE OF DIVIDEND Dividend No. 64 of 159 cents per share has been declared payable on Tuesday 2 December 1997 to shareholders registered at the close of business on Friday 31 October 1997. The register of members will be closed from Saturday 1 November to Saturday 8 November 1997. The full conditions relating to the dividend may be inspected at the Head Office and London Office of the company and at the office of its transfer secretaries. For and on behalf of the Board M W King Directors G P Pardoe Head Office: 44 Main Street Johannesburg 2001 London Office: 19 Charterhouse Street London EC1N 6QP END IR FFAFMDUWUFLS
1 Year Qnb Fin 26 Chart |
1 Month Qnb Fin 26 Chart |
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