ข่าวแจ้งตลาดหลักทรัพย์ฯ
FINANCIAL STATEMENT ENDED 30, SEPTEMBER 1998 AND 1997
17 พฤศจิกายน 2541
HAAD THIP PUBLIC COMPANY LIMITED
INTERIM FINANCIAL STATEMENTS
FOR THE THREE-MONTH AND NINE-MONTH PERIODS
ENDED SEPTEMBER 30, 1998 AND 1997
AND
AUDITORS' REPORT
EXPRESSED IN
Thai Baht
The Board of Directors
Haad Thip Public Company Limited
We have made a review of the balance sheets of Haad Thip Public
Company Limited as at September 30, 1998 and 1997, and the related
statements of income, retained earnings and changes in shareholders
equity for the three-month and nine-month periods then ended and the
statements of cash flows for the three-month and nine-month periods
ended September 30, 1998, 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 responsiblef or
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 financial statements taken as a whole. Accordingly, we
do not express such an opinion.
Based on our review, we are 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.
PRASIT MUSIKABHANTU
C.P.A. (THAILAND)
Registration No. 2675
November 3, 1998
"UNAUDITED"
"REVIEWED"
HAAD THIP PUBLIC COMPANY LIMITED
BALANCE SHEETS
SEPTEMBER 30, 1998 AND 1997
A S S E T S
In Thousand Baht
1988 1997
CURRENT ASSETS
Cash on hand and in banks 10,253 11,614
Accounts and notes receivable - trade (Note 2) 55,509 47,263
Less allowance for doubtful accounts ( 1,128) ( 842)
Accounts and notes receivable - trade - net 54,381 46,421
Inventories - net 58,792 57,053
Other current assets
Claim and other receivables - net 20,194 31,421
Prepaid expenses 9,113 10,681
Others 259 157
Total other current assets 29,566 42,259
Total Current Assets 152,992 157,347
ADVANCES AND LOANS TO DIRECTORS
AND EMPLOYEES 2,437 1,563
INVESTMENT IN SHARES - Net (Note 4) 3,502 3,850
PROPERTY, PLANT AND EQUIPMENT - At Cost;
net of accumulated depreciation 657,828 674,574
OTHER ASSETS
Promotion materials - net 23,125 25,590
Deferred charges and others 5,119 4,071
Total Other Assets 28,244 29,661
TOTAL ASSETS 845,003 866,995
See accompanying Notes to Interim Financial Statements.
"UNAUDITED"
"REVIEWED"
HAAD THIP PUBLIC COMPANY LIMITED
BALANCE SHEETS
SEPTEMBER 30, 1998 AND 1997
LIABILITIES AND SHAREHOLDERS'EQUITY
In Thousand Baht
1998 1997
CURRENT LIABILITIES
Bank overdrafts and loans from financial
institutions 50,833 105,408
Accounts payable - trade 109,461 100,271
Current portion of long-term loan 400 6,250
Other current liabilities
Accounts payable - others 12,602 13,956
Accrued bonus 19,605 11,525
Income tax payable 27,418 7,460
Others 14,685 15,475
Total other current liabilities 74,310 48,416
Total Current Liabilities 235,004 260,345
DEPOSITS RECEIVED FROM CUSTOMERS
AND OTHERS 170,123 168,570
LONG-TERM LOAN - Net of Current Portion 7,597 5,830
Total Liabilities 412,724 434,745
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 154,727 154,727
Retained earnings
Appropriated
Legal reserve (Note 5) 11,529 8,587
General reserve 16,000 13,000
Unappropriated 84,008 89,921
Total Shareholders Equity 432,279 432,250
TOTAL LIABILITIES AND SHAREHOLDERS
EQUITY 845,003 866,995
See accompanying Notes to Interim Financial Statements.
"UNAUDITED"
"REVIEWED"
HAAD THIP PUBLIC COMPANY LIMITED
STATEMENTS OF INCOME
FOR THE THREE-MONTH AND NINE-MONTH PERIODS
ENDED SEPTEMBER 30, 1998 AND 1997
In Thousand Baht
Three-Month Periods Nine-Month Periods
Ended September 30 Ended September 30
1998 1997 1998 1997
REVENUES
Net sales 284,287 294,493 1,111,937 979,352
Other income
Reversal of unclaimed
customers deposits 2,398 999 7,195 2,995
Others 1,190 1,116 5,595 6,653
Total other income 3,588 2,115 12,790 9,648
Total Revenues 287,875 296,608 1,124,727 989,000
COSTS AND EXPENSES
Cost of sales 195,221 183,449 746,366 622,003
Selling and administrative expenses 90,130 84,310 281,454 274,211
Interest expense 1,610 4,313 6,580 12,998
Directors remuneration - 200 - 200
Total Costs and Expenses 286,961 272,272 1,034,400 909,412
INCOME BEFORE INCOME TAX 914 24,336 90,327 79,588
INCOME TAX ( 565) ( 7,460) ( 27,434)( 24,299)
NET INCOME 349 16,876 62,893 55,289
Earnings per Share (Baht) 0.02 1.02 3.79 3.33
See accompanying Notes to Interim Financial Statements.
"UNAUDITED"
"REVIEWED"
HAAD THIP PUBLIC COMPANY LIMITED
STATEMENTS OF RETAINED EARNINGS
FOR THE THREE-MONTH AND NINE-MONTH PERIODS
ENDED SEPTEMBER 30, 1998 AND 1997
In Thousand Baht
Three-Month Periods Nine-Month Periods
Ended September 30 Ended September 30
1998 1997 1998 1997
UNAPPROPRIATED RETAINED
EARNINGS:
Beginning of period 108,561 73,045 73,919 52,083
Less appropriation of net income
for previous year: (Note 5)
Legal reserve - - - ( 849)
General reserve - - ( 3,000) -
Dividends - - ( 24,902) ( 16,602)
Net income for the period 349 16,876 62,893 55,289
Less appropriation of net income
for this year: (Note 5)
Dividends ( 24,902) - ( 24,902) -
Total Unappropriated
Retained Earnings 84,008 89,921 84,008 89,921
APPROPRIATED RETAINED
EARNINGS:
Legal reserve 11,529 8,587 11,529 8,587
General reserve 16,000 13,000 16,000 13,000
Total Appropriated
Retained Earnings 27,529 21,587 27,529 21,587
TOTAL RETAINED EARNINGS 111,537 111,508 111,537 111,508
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 NINE-MONTH PERIODS
ENDED SEPTEMBER 30, 1998 AND 1997
In Thousand Baht
Three-Month Periods Nine-Month Periods
Ended September 30 Ended September 30
1998 1997 1998 1997
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 154,727 154,727 154,727 154,727
Increase during the period - - - -
Balance, end of period 154,727 154,727 154,727 154,727
RETAINED EARNINGS
Appropriated
Legal reserve
Balance, beginning of period 11,529 8,587 11,529 7,737
Increase during the period
(Note 5) - - - 850
Balance, end of period 11,529 8,587 11,529 8,587
General reserve
Balance, beginning of period 13,000 13,000 13,000 13,000
Increase during the period
(Note 5) 3,000 - 3,000 -
Balance, end of period 16,000 13,000 16,000 13,000
Unappropriated
Balance, beginning of period 108,561 73,045 73,919 52,083
Increase during the period 349 16,876 62,893 55,289
Decrease during the period ( 24,902) - ( 52,804) ( 17,451)
Balance, end of period 84,008 89,921 84,008 89,921
TOTAL SHAREHOLDERS EQUITY 432,279 432,250 432,279 432,250
See accompanying Notes to Interim Financial Statements.
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