4th Nov 2020 10:53
MNHD Summary Financial Results for Quarterly Period Ended 30 September 2020 | |||||||||
Separate Financial Statements | |||||||||
Financial Indicators | |||||||||
Amounts in Egyptian Pounds | |||||||||
Statement of Income for the Period from 1 Jan 2020 to 30 September 2020 | |||||||||
1 Jan 2020 to | 1 Jan 2019 to | Change | |||||||
30-September-20 | 30-September-19 | % | |||||||
Revenues | 1,600,008,082 | 1,184,170,537 | 35% | ||||||
Gross Profit | 1,125,202,346 | 971,607,554 | 16% | ||||||
Gross Profit Margin | 70.32% | 82.05% | -14% | ||||||
Net Profit Before Tax | 823,328,600 | 789,485,702 | 4% | ||||||
Net Profit After Tax | 635,659,598 | 613,288,228 | 4% | ||||||
Basic EPS | 0.39 | 0.37 | 5% | ||||||
Statement of Financial Position as of 30 September 2020 | |||||||||
30- September -20 | 31-Dec-19 | Change % | |||||||
Net Working Capital | 8,404,450,354 | 6,322,845,408 | 33% | ||||||
Total Shareholders' Equity | 4,026,463,883 | 4,164,937,208 | -3% | ||||||
Paid-in Capital | 1,440,000,000 | 1,440,000,000 | - | ||||||
Statutory Reserve | 270,705,792 | 223,961,329 | 21% | ||||||
Retained Earnings | 1,700,865,973 | 1,566,086,623 | 9% | ||||||
Profit for the Period/Year | 635,659,598 | 934,889,256 | -32% | ||||||
Treasury Shares | (20,767,480) | - | - | ||||||
Statement of Cash Flows for the Period from 1 Jan 2020 to 30 September 2020 | |||||||||
1 Jan 2020 to | 1 Jan 2019 to | Change | |||||||
30-September-20 | 30-Septemeber-19 | % | |||||||
Cash Flows (used in)/from Operations | (978,895,915) | 16,238,468 | -6128.3% | ||||||
Cash flows used in Investment | (13,550,515) | (5,417,488) | -150.1% | ||||||
Cash Flows from Finance | 1,314,989,161 | 311,542,743 | 322.1% | ||||||
MNHD Summary Financial Results for Quarterly Period Ended 30 September 2020 |
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Consolidated Financial Statements |
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Financial Indicators Amounts in Egyptian Pounds |
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Consolidated Statement of Income for the Period from 1 Jan 2020 to 30 September 2020 |
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1 Jan 2020 to | 1 Jan 2019 to | Change |
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30 Sept 2020 | 30 Sept 2019 | % |
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Revenues | 1,761,833,813 | 1,439,022,710 | 22% |
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Gross Profit | 1,138,205,914 | 996,586,745 | 14% |
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Gross Profit Margin | 64.60% | 69.25% | -7% |
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Net Profit Before Tax | 816,663,805 | 810,637,332 | 1% |
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Net Profit After Tax | 628,994,803 | 630,985,047 | 0% |
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Net Profit After Non-Controlling Interest | 630,768,455 | 625,562,822 | 1% |
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Basic EPS | 0.38 | 0.38 | 0% |
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Statement of Financial Position as of 30 September 2020 |
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30 Sept 2020 | 31 Dec 2019 | Change % |
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Net Working Capital | 8,635,750,610 | 6,573,651,290 | 31% |
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Total Shareholders' Equity | 4,199,643,383 | 4,355,167,956 | -4% |
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Paid-in Capital | 1,440,000,000 | 1,440,000,000 | 0% |
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Statutory Reserve | 270,705,792 | 223,961,329 | 21% |
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Retained Earnings | 1,776,703,531 | 1,599,997,287 | 11% |
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Net Profit for Parent company shareholders | 630,768,455 | 980,895,727 | -36% |
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Treasury Shares | (20,767,480) | - | - |
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Statement of Cash Flows for Period from 1 Jan 2020 to 30 September 2020 |
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1 Jan 2020 to
| 1 Jan 2019 to | Change |
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30 Sept 2020 | 30-Sept 2019 | % |
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Cash Flows (used in)/from Operations | (994,748,876) | 43,417,895 | -2391% |
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Cash flows (used in) Investment | (13,606,034) | (6,730,093) | -102% |
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Cash Flows from Finance | 1,308,682,285 | 305,620,310 | 328% |
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Related Shares:
Madinet Nasr S