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these are the some of the statements of TOP GLOVE company . based on these , prepare financial ratios for the company for the year

these are the some of the statements of TOP GLOVE company . based on these , prepare financial ratios for the company for the year 2020
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STATEMENTS OF PROFIT OR LOSS FOR THE FINANCIAL YEAR ENDED 31 AUGUST 2020 Group 2020 RM'000 Company 2020 RM'000 2019 RM'000 Note 2019 RM000 8 1.636,614 220,964 7.237,427 (4,387,010) 2,850,417 4,801,139 (3,917,144) 883,995 1,636,614 220,964 9 23,889 33.116 10,611 38,552 9,741 7 41 2,064 10 Revenue Cost of sales Gross profit Other items of income Interest income Other income Other items of expense Distribution and selling costs Administrative and general expenses Finance costs Share of results of an associate Profit before tax Income tax expenses Profit net of tax (155,021) (551,023) (34,399) (133,357) (293,938) (79,601) (13,847) (9,016) (7) 11 14 (1,428) 2,165,551 (376.721) 1.788.830 (2,674) 423,588 (56,042) 367,546 1.637,339 (217) 1.637,122 209,222 (4) 209.218 364,678 1,637,122 209,218 Profit attributable to: Owners of the parent Holders of Perpetual Sukuk Non-controlling interests 1.752,584 25,605 10,641 1.788.830 2,868 367,546 1.637,122 209,218 15 Earnings per share attributable to owners of the parent (sen): Before issuance of bonus shares - Basic - Diluted After issuance of bonus shares Basic Diluted 67.60 67.28 14.27 14.21 15 15 21.88 21.86 4.57 4.57 15 STATEMENTS OF COMPREHENSIVE INCOME FOR THE FINANCIAL YEAR ENDED 31 AUGUST 2020 Group 2020 RM'000 1,788,830 2019 RM'000 367,546 Company 2020 RM'000 1,637,122 2019 RM'000 209,218 Profit net of tax Other comprehensive income/loss): Items that may be reclassified subsequently to profit or loss: Net movement on debt instrument at fair value through other comprehensive income Cash flow hedge (Note 36) Foreign currency translation differences of foreign operations Other comprehensive income/(loss) for the year, net of tax Total comprehensive income for the year (2,084) 77,601 3,247 (38.787) (7.521) 17,423 67,996 1,856,826 (18,117) 349.429 1,637,122 209,218 345,444 1,637,122 209,218 Total comprehensive income attributable to: Owners of the parent Holders of Perpetual Sukuk Non-controlling interests 1,821,022 25,605 10,199 1,856,826 3,985 349,429 1,637,122 209,218 STATEMENT OF FINANCIAL POSITION (GROUP) AS AT 31 AUGUST 2020 2020 RM 000 2019 (Restated RM'000 As at 1.9.2018 (Restated) RM 000 Note 3,010,233 2.480,026 178,495 2.104,762 127,029 Assets Non-current assets Property, plant and equipment Land use rights Right-of-use assets Investment property Investment in an associate Deferred tax assets Biological assets Investment securities Intangible assets 16 17 18 19 21 22 201.425 163,900 10,425 19,589 163.900 11,853 58,472 163,900 14,527 19.271 28 23 24 392 1,012,319 4,418,311 392 1,015,970 3.909,108 392 1.019,635 3,449,516 Current assets Inventories Trade and other receivables Other current assets Investment securities Derivative financial instruments Cash and bank balances 25 26 27 23 28 29 629,896 832,623 63,511 87.285 505,862 877,715 105,346 193,714 530.729 798.805 74,884 1,674,631 45 1.208.559 4,287,653 8,705,964 165.782 1.779,097 5.688,205 165,197 1,847,834 5.297,350 Total assets Equity and liabilities Current liabilities Loans and borrowings Trade and other payables Contract liabilities Lease liabilities Income tax payable Derivative financial instruments 30 31 32 33 314,199 810,824 879,386 1,442 126,673 1,041,325 492,414 55.610 882,575 500.151 59.248 28 789 1,653 1.591.791 187.306 8.741 856 1.451,571 2.132.524 2,155,129 Net current assets 396,263 STATEMENT OF FINANCIAL POSITION (COMPANY) AS AT 31 AUGUST 2020 Note 2020 RM'000 2019 RM1000 Assets Non-current assets Investment in subsidiaries Right-of-use assets 20 18 1,031,056 1,617,656 434 1.618,090 1,031,056 26 27 605,844 11 Current assets Trade and other receivables Other current assets Tax recoverable Investment securities Cash and bank balances 4.724 2.614 10 1 23 29 74 709,075 257,481 1.572,411 3.190,501 7.423 1,038,479 Total assets Equity and liabilities Current liabilities Trade and other payables Lease liabilities Income tax payable 1,542 31 33 2.571 72 219 2,862 1.569,549 1,542 5,881 Net current assets Non-current liability Lease liabilities Total liabilities Net assets 33 366 3.228 3,187.273 1,542 1,036,937 Equity attributable to owners of the Company Share capital Treasury shares Other reserves Retained earnings Total equity Total equity and liabilities 34 35 36 38 1.675,704 (1,519) 5,319 1.507.769 3,187,273 3.190,501 788.326 (1.781) 8,995 241.397 1,036,937 1,038,479 Statement of Financial Position (Group) As at 31 August 2020 (cont'd) 2020 2019 (Restated) RM'000 As at 1.9.2018 (Restated) RM'000 Note RM'000 1,379,369 1,330,359 Non-current liabilities Loans and borrowings Lease liabilities Deferred tax liabilities Provisions 30 33 22 226,340 9,672 141,988 4,557 382,557 2,515,081 6,190,883 159,714 3,190 1,542,273 3,134,064 2,554,141 116,305 719 1,447,383 2,898,954 2,398,396 Total liabilities Net assets Equity attributable to owners of the parent Share capital Treasury shares Other reserves Retained earnings 34 35 36 1,675,704 (1,519) 65,040 3,131,530 4,870,755 1,295,262 24,866 6,190,883 8,705,964 788,326 (1,781) (1,553) 1,751,963 2,536,955 787,709 (9,325) 6,663 1,597,999 2,383,046 38 37 Perpetual Sukuk Non-controlling interests Total equity Total equity and liabilities 17,186 2,554,141 5,688,205 15,350 2,398,396 5,297,350

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