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Fri 12 Mar 2010, 8:00 BIC - BICC Cafca - Audited Financial Results: Full Year Ended 31 December 2009
BIC
BIC                                                                             
BIC - BICC Cafca - Audited Financial Results: Full Year Ended 31 December 2009  
BICC Cafca Limited                                                              
Share Code: BIC                                                                 
ISIN Code: ZW0009011074                                                         
Notice To Shareholders                                                          
Unaudited Financial Results for the Full Year Ended 31 December 2009            
All figures in United Stated Dollars                                            
Full Year to  
                                                              31 December 2009  
                                                                             $  
CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME                                  
Revenue                                                               7,289,086 
Operating Profit                                                        719,804 
Net Finance Cost                                                       (22,911) 
Profit Before Taxation                                                  696,893 
Taxation                                                              (265,084) 
Profit for the Year                                                     431,809 
Other Comprehensive Income                                                    - 
Total Comprehensive Income for the Year                                 431,809 
Issued Ordinary Shares(weighted)(number)                             32,283,584 
Basic Earnings per share                                                   1,34 
(cents)                                                                         
Headline Earnings per share                                                1,34 
(cents)                                                                         
ABRIDGED STATEMENT OF CASH FLOWS                                                
Operating Profit                                                        719,804 
Depreciation                                                            128,949 
Share option charge                                                      44,783 
Arising from change in functional currency                               93,909 
Change in Working Capital                                             (836,554) 
Net cash generated from operating activities                            150,891 
Purchase of non current assets                                          (3,564) 
Tax paid                                                              (144,536) 
Proceeds from issue of share capital                                      1,167 
Net Finance cost                                                       (22,911) 
Net decrease in cash and cash equivalents                              (18,953) 
CONSOLIDATED STATEMENT OF FINANCIAL POSITION                                    
Non-Current Assets                                                    4,467,061 
Inventory                                                             1,887,906 
Accounts Receivable                                                   1,564,719 
Cash                                                                     40,622 
Total Assets                                                          7,960,308 
Shareholders` Funds                                                   5,609,034 
Deferred Tax                                                          1,089,885 
Bank overdraft                                                           22,170 
Current Liabilities                                                   1,239,219 
Total Equity and Liabilities                                          7,960,308 
STATEMENT OF CHANGES IN EQUITY                                                  
Balance at 1 January 2009(Non distributable Income)                   3,891,992 
arising on restatement in                                                       
functional currency                                                             
Share option charge    (Share Option Reserves)                           36,617 
Issue of shares        (Share Capital and Premium)                        9,333 
Property Plant and Equipment (Revaluation Reserve)                    1,239,283 
Revaluation Surplus                                                             
Profit for the year (Retained Earnings)                                 431,809 
Balance at 31 December 2009                                           5,609,034 
BY ORDER OF THE BOARD                                                           
C. KANGARA                                                                      
COMPANY SECRETARY                                                               
DATE: 12 March 2010                                                             
Directors:                                                                      
HP Mkushi (Chairman), RN Webster (Managing)                                     
ETZ Chidzonga, A Mabena, S Mangwengwende,CE Schuttle, TA Taylor                 
Date: 12/03/2010 08:00:01 Produced by the JSE SENS Department.                  
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