LAKE HOUSE PRINTERS & PUBLISHERS PLC

INTERIM ACCOUNTS

FOR THE 09 MONTHS ENDED 31ST DECEMBER 2022

LAKE HOUSE PRINTERS & PUBLISHERS PLC

CORPORATE INFORMATION

Legal Status

A Quoted Public Company

Registered Number - PQ 175

Board of Directors

R.S.Wijewardene (Chairman)

P.S.Wijewardene

R.C.Samarasinghe

Prof.L.R.Watawala (Independent)

D.F.R.Jayamaha (Independent)

D.R.Wijewardene

Secretary

D.P.A.N.Kumara

Auditors

KPMG

Chartered Accountants

Bankers

Bank of Ceylon,Corporate Branch.

Sampath Bank PLC,Headquarters Branch.

NDB Bank PLC,Headquarters Branch.

Commercial Bank PLC,Dharmapala Mawatha Branch.

Commercial Bank PLC,W.A.D.Ramanayake Mawatha Branch.

DFCC Bank PLC,Head Office Branch.

Registered Office

No.41,W.A.D.Ramanayake MW,Colombo, 02.

Fax

011-2449504

E - Mail lhpp@sltnet.lk

Http://www.lhppl.com

Telephone 0112433272-3

112332271

LAKE HOUSE PRINTERS & PUBLISHERS PLC

INCOME STATEMENT FOR THE 09 MONTHS ENDED 31ST DECEMBER 2022

In conformity with the Colombo Stock Exchange Regulations, we give below a summary of our performance for the 9 Months ended 31st December 2022

Company

Company

3 Months

3 Months

9 Months

9 Months

Ended

Variance

Ended

Ended

Variance

Ended

31.12.2022

%

31.12.2021

31.12.2022

%

31.12.2021

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Revenue

428,786

135.7

181,932

886,605

101.6

439,730

Cost of Sales

(286,893)

113.3

(134,489)

(596,542)

89.6

(314,711)

Gross Profit

141,892

199.1

47,443

290,063

132.0

125,020

Other Income

6,344

17.0

5,423

19,997

21.4

16,478

Administration Expenses

(51,388)

69.0

(30,411)

(123,752)

38.5

(89,331)

Distribution Expenses

(33,036)

315.8

(7,945)

(63,524)

162.1

(24,241)

Other Operating Expenses

-

-

-

-

Results From Operating Activities

63,812

339.8

14,510

122,784

339.7

27,926

Finance Income

2,160

620.0

300

4,560

313.0

1,104

Finance Costs

(1,415)

216.9

(447)

(6,101)

316.8

(1,464)

Share of Profit of Associate (Net of Tax)

-

-

-

-

Profit Before Taxation

64,557

349.4

14,364

121,244

339.8

27,566

Income Tax Expenses

(18,569)

549.4

(2,859)

(32,000)

481.8

(5,500)

Profit For the Period

45,988

299.7

11,504

89,244

304.4

22,066

Other Comprehensive Income

-

-

-

-

-

-

Profit for The Period

45,988

299.7

11,504

89,244

304.4

22,066

Basic Earnings Per Ordinary Share (Rs.)

15.66

3.66

30.39

6.54

THE ABOVE FIGURES ARE PROVISIONAL AND SUBJECT TO AUDIT.

Director

Director

14/02/2023

14/02/2023

LAKE HOUSE PRINTERS & PUBLISHERS PLC

INCOME STATEMENT FOR THE 09 MONTHS ENDED 31ST DECEMBER 2022

In conformity with the Colombo Stock Exchange Regulations, we give below a summary of our performance for the 9 Months ended 31st December 2022

GROUP

GROUP

3 Months

3 Months

9 Months

9 Months

Ended

Variance

Ended

Ended

Variance

Ended

31.12.2022

%

31.12.2021

31.12.2022

%

31.12.2021

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Revenue

428,876

135.9

181,784

886,825

101.6

439,888

Cost of Sales

(286,893)

113.6

(134,289)

(596,542)

89.6

(314,711)

Gross Profit

141,983

198.9

47,495

290,283

131.9

125,177

Other Income

7,959

43.2

5,558

20,404

21.8

16,749

Administration Expenses

(51,842)

65.2

(31,386)

(124,790)

37.8

(90,581)

Distribution Expenses

(33,037)

315.8

(7,945)

(63,524)

162.1

(24,241)

Other Operating Expenses

-

-

-

-

-

Results From Operating Activities

65,063

374.2

13,722

122,373

351.5

27,104

Finance Income

10,092

677.5

1,298

18,160

327.4

4,249

Net Finance Costs

(1,416)

216.8

(447)

(6,101)

316.7

(1,464)

Share of Profit of Associate (Net of Tax)

-

-

-

-

-

Profit Before Taxation

73,739

406.0

14,573

134,432

349.8

29,889

Income Tax Expenses

(20,885)

617.9

(2,909)

(35,632)

488.3

(6,057)

Profit For the Period

52,854

353.1

11,664

98,800

314.6

23,832

Other Comprehensive Income

-

-

-

-

-

Profit for The Period

52,854

353.1

11,664

98,800

314.6

23,832

Basic Earnings Per Ordinary Share (Rs.)

18.00

3.97

33.64

8.11

THE ABOVE FIGURES ARE PROVISIONAL AND SUBJECT TO AUDIT.

Director

Director

14/02/2023

14/02/2023

LAKE HOUSE PRINTERS & PUBLISHERS PLC

SUMMARISED BALANCE SHEET AS AT 31ST DECEMBER 2022

AUDITED

GROUP

COMPANY

GROUP

COMPANY

31.03.2022

31.03.2022

31.12.2022

31.12.2021

31.12.2022

31.12.2021

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs.'000

Rs.'000

ASSETS

Non Current Assets

33,164

33,164

Property, Plant and Equipment

27,644

36,245

27,644

36,245

336,458

336,458

Investment Property

336,458

325,380

336,458

325,380

-

2,983

Investment in Subsidiary

-

-

2,983

2,983

-

-

Investment in Equity Accounted Investee

-

10,055

-

4,889

17,860

17,856

Other Investments

17,860

17,649

17,856

17,643

387,481

390,461

Total Non Current Assets

381,962

389,329

384,941

387,140

Current Assets

114,136

114,136

Inventories

300,186

103,055

300,186

103,055

70,356

65,914

Trade Debtors and Other Receivables

80,003

54,831

78,166

52,953

27,336

27,291

Amounts Due from Related Parties

29,935

28,162

29,815

28,117

-

-

Loans Given to Related Parties

-

417

-

-

210

-

Taxation Recoverable

-

612

-

-

5,145

3,667

Assets Held for Sale

-

-

-

-

173,003

68,311

Cash and Cash Equivalents

198,949

159,045

78,103

53,116

390,186

279,319

Total Current Assets

609,073

346,122

486,270

237,241

777,667

669,780

TOTAL ASSETS

991,035

735,451

871,211

624,381

EQUITY AND LIABILITIES

Capital and Reserves

35,247

35,247

Stated Capital

35,247

35,247

35,247

35,247

6,197

6,197

Capital Reserves

6,197

6,197

6,197

6,197

220,536

220,536

Revaluation Reserve

220,536

220,536

220,536

220,536

14,249

14,245

Fair Value Reserve

14,249

14,038

14,245

14,032

440,331

332,599

Retained Earnings

533,256

399,503

415,969

288,599

716,559

608,823

Total Equity Attributable to Equity Holders of the Company

809,485

675,521

692,194

564,611

716,559

608,823

Total Equity

809,485

675,521

692,194

564,611

Non - Current Liabilities

4,759

4,759

Deferred Liabilities

4,759

10,030

4,759

10,030

12,765

12,765

Retirement Benefit Obligations

12,585

14,841

12,585

14,841

-

-

Interest Bearing Borrowings

-

-

-

-

-

-

Loans from Related Parties

-

-

-

-

17,524

17,524

Total Non Current Liabilities

17,344

24,871

17,344

24,871

Current Liabilities

482

482

Interest Bearing Borrowings

-

653

-

653

36,877

36,726

Trade and Other Payables

140,011

32,187

140,011

32,027

-

-

Loans from Related Parties

-

-

-

-

5,810

5,808

Current Taxation

23,736

1,733

21,203

1,733

416

416

Bank Overdrafts

459

486

459

486

43,585

43,432

Total Current Liabilities

164,206

35,059

161,673

34,899

61,109

60,956

TOTAL LIABILITIES

181,550

59,930

179,017

59,770

777,668

669,779

TOTAL EQUITY AND LIABILITIES

991,035

735,451

871,211

624,381

243.98

207.29

Net Assets Per Share (Rs.)

275.62

230.00

235.68

192.24

Director

Director

14/02/2023

14/02/2023

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Lake House Printers and Publishers plc published this content on 15 February 2023 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 15 February 2023 03:34:06 UTC.