SET Announcements
INTERIM FINANCIAL STATEMENTS FOR THE SECOND QUARTER OF 1999
16 August 1999
HAAD THIP PUBLIC COMPANY LIMITED
INTERIM FINANCIAL STATEMENTS
FOR THE THREE-MONTH AND SIX-MONTH PERIODS
ENDED JUNE 30, 1999 AND 1998
AND
REPORT OF CERTIFIED PUBLIC ACCOUNTANT
EXPRESSED IN
Thai Baht
REPORT OF CERTIFIED PUBLIC ACCOUNTANT
To The Board of Directors of Haad Thip Public Company Limited
I have made a review of the balance sheets of Haad Thip Public Company Limited
as at June 30, 1999 and 1998, and the related statements of income, changes in
shareholders' equity, retained earnings and cash flows for the three-month and six-
month periods then ended, in accordance with standards established by the Institute
of Certified Accountants and Auditors of Thailand.
A review of interim financial statements consists principally of obtaining an
understanding of the system for the preparation of interim financial statements,
applying analytical review procedures to financial data, and making inquiries of
persons responsible for financial and accounting matters. It is substantially less in
scope than an examination in accordance with generally accepted auditing standards,
the objective of which is the expression of an opinion regarding the interim financial
statements taken as a whole. Accordingly, I do not express such an opinion.
Based on my review, I am not aware of any material modifications that should
be made to the accompanying interim financial statements for them to be in conformity
with generally accepted accounting principles (in Thailand).
PRASIT MUSIKABHANTU
C.P.A. (THAILAND)
Registration No. 2675
Bangkok
August 2, 1999
"UNAUDITED"
"REVIEWED"
HAAD THIP PUBLIC COMPANY LIMITED
BALANCE SHEETS
JUNE 30, 1999 AND 1998
A S S E T S
In Thousand Baht
1999 1998
CURRENT ASSETS
Cash on hand and in banks 23,792 18,434
Accounts and notes receivable - trade (Note 2) 53,415 59,943
Less allowance for doubtful accounts ( 1,128) ( 1,128)
Accounts and notes receivable - trade - net 52,287 58,815
Inventories - net (Note 3) 48,266 93,589
Other current assets
Claim and other receivables - net 15,798 12,940
Prepaid expenses 9,680 8,746
Others 384 164
Total Current Assets 150,207 192,688
ADVANCES AND LOANS TO DIRECTORS
AND EMPLOYEES 2,441 1,693
INVESTMENT IN SHARES - Net (Note 4) 3,240 3,502
PROPERTY, PLANT AND EQUIPMENT - At Cost;
net of accumulated depreciation (Note 5) 618,693 657,386
OTHER ASSETS - Net
Promotion materials 35,935 22,101
Deferred charges and others 6,368 5,305
Total Other Assets 42,303 27,406
TOTAL ASSETS 816,884 882,675
See accompanying Notes to Interim Financial Statements.
"UNAUDITED"
"REVIEWED"
HAAD THIP PUBLIC COMPANY LIMITED
BALANCE SHEETS
JUNE 30, 1999 AND 1998
LIABILITIES AND SHAREHOLDERS' EQUITY
In Thousand Baht
1999 1998
CURRENT LIABILITIES
Bank overdraft and loans from financial
institutions (Note 6) 75,539 64,625
Accounts payable - trade 101,866 115,618
Current portion of long-term loan (Note 7) 1,599 -
Other current liabilities
Accounts payable - others 14,030 12,990
Accrued bonus 8,571 11,910
Income tax payable 8,074 26,859
Others 14,348 14,573
Total Current Liabilities 224,027 246,575
DEPOSITS RECEIVED FROM CUSTOMERS
AND OTHERS 151,559 171,270
LONG-TERM LOAN - Net of Current Portion
(Note 7) 6,398 7,997
Total Liabilities 381,984 425,842
SHAREHOLDERS' EQUITY
Share capital
Authorized - 25,000,000 shares;
Baht 10 par value 250,000 250,000
Issued and fully paid up - 16,601,500 shares 166,015 166,015
Premium on share capital 154,728 154,728
Retained earnings
Appropriated (Note 8)
Legal reserve 14,707 11,529
General reserve 19,000 16,000
Unappropriated 80,450 108,561
Total Shareholders' Equity 434,900 456,833
TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY 816,884 882,675
See accompanying Notes to Interim Financial Statements.
"UNAUDITED"
"REVIEWED"
HAAD THIP PUBLIC COMPANY LIMITED
STATEMENTS OF INCOME
FOR THE THREE-MONTH AND SIX-MONTH PERIODS
ENDED JUNE 30, 1999 AND 1998
In Thousand Baht
Three-Month Periods Six-Month Periods
Ended June 30 Ended June 30
1999 1998 1999 1998
REVENUES
Net sales 311,047 412,739 636,691 827,650
Other income
Reversal of unclaimed
customers' deposits 4,463 2,398 8,926 4,797
Others 1,595 2,553 3,078 4,405
Total Revenues 317,105 417,690 648,695 836,852
COSTS AND EXPENSES
Cost of sales 211,028 272,638 439,153 551,145
Selling and administrative expenses 91,603 102,966 179,956 191,324
Interest expense 1,427 2,066 2,746 4,970
Directors' remuneration - - 200 -
Total Costs and Expenses 304,058 377,670 622,055 747,439
INCOME BEFORE INCOME TAX 13,047 40,020 26,640 89,413
INCOME TAX ( 3,726) ( 12,020) ( 8,077) ( 26,869)
NET INCOME 9,321 28,000 18,563 62,544
Earnings per Share (Baht) 0.56 1.69 1.12 3.77
See accompanying Notes to Interim Financial Statements.
"UNAUDITED"
"REVIEWED"
HAAD THIP PUBLIC COMPANY LIMITED
STATEMENTS OF CHANGES IN SHAREHOLDERS' EQUITY
FOR THE THREE-MONTH AND SIX-MONTH PERIODS
ENDED JUNE 30, 1999 AND 1998
In Thousand Baht
Three-Month Periods Six-Month Periods
Ended June 30 Ended June 30
1999 1998 1999 1998
SHARE CAPITAL
Common shares
Balance, beginning of period 166,015 166,015 166,015 166,015
Increase during the period - - - -
Balance, end of period 166,015 166,015 166,015 166,015
PREMIUM ON SHARE CAPITAL
Balance, beginning of period 154,728 154,728 154,728 154,728
Increase during the period - - - -
Balance, end of period 154,728 154,728 154,728 154,728
RETAINED EARNINGS
Appropriated
Legal reserve
Balance, beginning of period 14,707 11,529 14,707 11,529
Increase during the period - - - -
Balance, end of period 14,707 11,529 14,707 11,529
General reserve
Balance, beginning of period 19,000 13,000 16,000 13,000
Increase during the period
(Note 8) - 3,000 3,000 3,000
Balance, end of period 19,000 16,000 19,000 16,000
Unappropriated
Balance, beginning of period 71,129 80,561 81,489 73,919
Increase during the period 9,321 28,000 18,563 62,544
Decrease during the period - - ( 19,602) ( 27,902)
Balance, end of period 80,450 108,561 80,450 108,561
TOTAL SHAREHOLDERS' EQUITY 434,900 456,833 434,900 456,833
See accompanying Notes to Interim Financial Statements.
"UNAUDITED"
"REVIEWED"
HAAD THIP PUBLIC COMPANY LIMITED
STATEMENTS OF RETAINED EARNINGS
FOR THE THREE-MONTH AND SIX-MONTH PERIODS
ENDED JUNE 30, 1999 AND 1998
In Thousand Baht
Three-Month Periods Six-Month Periods
Ended June 30 Ended June 30
1999 1998 1999 1998
UNAPPROPRIATED RETAINED
EARNINGS:
Beginning of period 71,129 80,561 81,489 73,919
Less appropriation of net income
for previous year: (Note 8)
General reserve - - ( 3,000) ( 3,000)
Dividend - - ( 16,602) ( 24,902)
Net income for the period 9,321 28,000 18,563 62,544
Total Unappropriated
Retained Earnings 80,450 108,561 80,450 108,561
APPROPRIATED RETAINED
EARNINGS:
Legal reserve 14,707 11,529 14,707 11,529
General reserve 19,000 16,000 19,000 16,000
Total Appropriated
Retained Earnings 33,707 27,529 33,707 27,529
TOTAL RETAINED EARNINGS 114,157 136,090 114,157 136,090
See accompanying Notes to Interim Financial Statements.
"UNAUDITED"
"REVIEWED"
HAAD THIP PUBLIC COMPANY LIMITED
STATEMENTS OF CASH FLOWS
FOR THE THREE-MONTH AND SIX-MONTH PERIODS
ENDED JUNE 30, 1999 AND 1998
In Thousand Baht
Three-Month Periods Six-Month Periods
Ended June 30 Ended June 30
1999 1998 1999 1998
CASH FLOWS FROM OPERATING ACTIVITIES:
Net income 9,321 28,000 18,563 62,544
Reconciliations of net income to net
cash provided by (use in) operating
activities:
Bad debts and provision for doubtful
accounts - - 224 -
Reversal of provision for obsolete
inventories ( 302) - ( 181) -
Depreciation and amortization 19,134 20,209 38,047 40,069
Loss on sales of investment in shares - 348 - 348
Gain on sales of fixed assets ( 97) ( 313) ( 213) ( 313)
Promotion materials amortized and
book value of containers written off 7,650 5,884 12,727 11,594
Reversal of unclaimed customers'
deposits ( 4,463) ( 2,398) ( 8,926) ( 4,796)
Decrease in accounts and notes
receivable - trade 17,194 10,777 17,977 6,112
Decrease (increase) in inventories 14,174 ( 35,048) 3,227 ( 33,426)
Decrease in claim and other receivables 10,970 20,098 9,294 13,571
Decrease (increase) in prepaid expenses 1,191 ( 4,584) ( 3,200) ( 2,472)
Decrease (increase) in other current
assets 458 109 ( 63) 54
Increase in promotion materials ( 6,781) ( 2,668) (15,852) ( 2,668)
Increase in deferred charges and others ( 603) ( 17) ( 164) ( 1,692)
Decrease in accounts payable - trade ( 37,039) ( 23,878) (10,267) ( 6,858)
Increase (decrease) in accounts payable
- others ( 5,979) 120 ( 81) 1,043
Decrease in accrued bonus ( 9,286) ( 6,905) ( 5,704) ( 3,439)
Increase (decrease) in income
tax payable 2,545 2,300 (19,964) 17,147
Increase (decrease) in other
current liabilities 427 ( 3,192) ( 711) 1,120
Increase (decrease) in customers'
deposits and others ( 244) 3,594 ( 6,909) 6,752
Net Cash Provided by Operating
Activities 18,270 12,436 27,824 104,690
"UNAUDITED"
"REVIEWED"
- 2 -
In Thousand Baht
Three-Month Periods Six-Month Periods
Ended June 30 Ended June 30
1999 1998 1999 1998
CASH FLOWS FROM INVESTING ACTIVITIES:
Increase in property,plant and equipment ( 7,016) ( 5,826) ( 18,776) ( 36,225)
Proceeds from sales of fixed assets 115 608 284 608
Net Cash Used in Investing Activities ( 6,901) ( 5,218) ( 18,492) ( 35,617)
CASH FLOWS FROM FINANCING ACTIVITIES:
Decrease (increase) in advances and
loans to directors and employees 1,046 650 ( 670) 168
Increase (decrease) in loans from banks 10,000 ( 15,000) 25,000 ( 40,000)
Payment of dividends ( 16,602) ( 24,902) ( 16,602) ( 41,503)
Net Cash Used in Financing Activities ( 5,556) ( 39,252) 7,728 ( 81,335)
NET INCREASE (DECREASE) IN CASH
AND CASH EQUIVALENTS 5,813 ( 32,034) 17,060 ( 12,262)
Cash and Cash Equivalents,Beginning of Period 17,440 25,843 6,193 6,071
CASH AND CASH EQUIVALENTS,
END OF PERIOD 23,253 ( 6,191) 23,253 ( 6,191)
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