SUNSHINE HOLDINGS PLC

Annual Report 2018/19

Preamble

Highlights of the year

 

Group Company
2019
Rs.
2018
Rs.
2019
Rs.
2018
Rs.
Results for the year ended 31 March
Revenue 22,641,987,898 21,181,210,416 514,907,500 340,599,522
Gross profit 5,699,290,610 5,385,359,251 514,907,500 340,599,522
Gross profit margin % 25.17 25.43 N.A. N.A.
EBIT 2,218,330,819 2,580,028,235 303,936,768 122,912,751
Net finance cost (331,592,899) (156,173,226) (63,300,710) 25,645,590
Profit before tax 1,881,576,601 2,422,814,623 240,636,058 148,558,341
Income tax (735,942,442) (618,292,027) 19,250,174
Profit for the year 1,145,634,159 1,804,522,596 259,886,232 148,558,341
Profit margin % 5.06 8.52 50.47 43.62
Other comprehensive income (Net of tax) (224,826,836) 68,902,741 14,448,901 35,762,731
Discontinued operations (210,824,830)
Total comprehensive income 920,807,323 1,662,600,507 274,335,133 184,321,072
Total comprehensive income margin % 4.07 7.85 N.M. N.M.
Profit for equity holders – Continued operations 646,984,059 829,362,966 259,886,232 148,558,341
Profit for equity holders – Discontinued operations (210,824,830)
As at 31 March
Stated capital 1,641,715,247 798,504,357 1,641,715,247 798,504,357
Shareholders’ funds 5,874,468,642 5,576,420,179 2,161,265,030 2,131,368,284
Non-controlling interest 3,476,651,011 3,427,198,621
Total equity 10,992,834,900 9,802,123,157 3,802,980,277 2,929,872,641
Long-term liabilities
– Debt 3,299,921,582 3,572,013,986 1,235,793,320 1,143,330,000
– Others 2,332,344,942 1,890,662,206 87,068,694 78,399,096
Current liabilities
– Debt 1,939,810,346 1,736,627,424 429,114,709 256,670,000
– Others 3,495,469,259 3,292,784,534 26,821,780 25,125,655
Total equity and liabilities 22,060,381,028 20,294,211,307 5,581,778,780 4,433,397,391
Non-current assets 12,234,498,273 11,588,301,366 4,004,385,219 3,673,605,436
Current assets
– Cash and cash equivalents 1,843,593,506 1,374,218,432 1,042,331,375 526,335,611
– Others 7,982,289,249 7,331,691,510 535,062,186 233,456,344
Total assets 22,060,381,028 20,294,211,307 5,581,778,780 4,433,397,391
Group Company
2019
Rs.
2018
Rs.
2019
Rs.
2018
Rs.
For the year ended 31 March
Cash generated from operations 2,782,438,695 2,777,513,772 328,631,348 237,664,735
Interest paid (506,571,577) (378,837,123) (143,835,444) (41,781,020)
Income tax paid (462,423,561) (546,195,415) (4,365,938)
Gratuity paid (152,320,973) (146,131,600) (8,090,760) (170,850)
Net cash generated from operations 1,661,122,585 1,706,349,635 172,339,206 195,712,865
Capital expenditure (857,805,894) (1,482,035,528) (18,288,951) (1,861,384)
Net cash generated from/(used in) investing activities (1,138,388,623) (3,407,092,747) (280,228,443) (1,632,157,420)
Dividend paid
– Owner of parent (136,527,501) (168,932,026) (136,527,499) (168,932,026)
– Non-controlling shareholders (366,484,682) (193,990,990)
Net cash generated from/(used in) financial activities (44,651,298) 982,355,156 623,885,006 1,231,067,975
Net increase/(decrease) in cash 567,385,260 (718,387,956) 515,995,769 (205,376,580)
Per ordinary share
EPS 4.43 6.08 1.78 1.09
Net assets 50.26 46.71 25.43 21.47
Market value 47.00 56.10
Proposed DPS 1.25 1.50 1.25 1.50
Ratio
Debt: Equity ratio (%) 47.66 54.16 43.78 47.78
ROE (%) 10.42 18.41 6.83 5.07
ROCE (%) 13.67 17.07 5.56 2.84
Interest cover (times) 3.98 6.81 1.71 2.94
Liquid assets ratio (times) 1.81 0.83 0.89 0.51
P/E ratio (times) 10.60 9.23 N.A. N.A.
Market capitalisation (Rs.) 7,029,042,841 7,657,216,908 N.A. N.A.
Enterprise value (Rs.) 10,425,181,262 11,591,639,886 N.A. N.A.
N.A. - Not applicable N.M. – Not material
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