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Freitag, 28.04.2017 14:05 von | Aufrufe: 59

Zhejiang Expressway Co Ld - 2017 First Quarterly Results Announcement

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PR Newswire

Hong Kong Exchanges and Clearing Limited and The Stock Exchange of Hong Kong Limited take no responsibility for the contents of this announcement, make no representation as to its accuracy or completeness and expressly disclaim any liability whatsoever for any loss howsoever arising from or in reliance upon the whole or any part of the contents of this announcement.

ZHEJIANG EXPRESSWAY CO., LTD.
(A joint stock limited company incorporated in the People's Republic of China with limited liability) 
(Stock code: 0576)

2017 FIRST QUARTERLY RESULTS ANNOUNCEMENT

The directors (the "Directors") of Zhejiang Expressway Co., Ltd. (the "Company") are pleased to announce the first quarterly results of the Company and its subsidiaries (the "Group") for the three months ended March 31, 2017 (the "Period").

The audit committee of the Company has reviewed the quarterly results of the Group for the Period. Set out below are the Group's unaudited condensed consolidated statement of profit or loss and other comprehensive income, unaudited condensed consolidated statement of financial position and unaudited condensed consolidated statement of cash flows for the Period together with the comparative figures for the corresponding period of 2016:

CONDENSED CONSOLIDATED STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME
For the three months 
ended March 31,
2017 2016
Rmb'000 Rmb'000
(Unaudited) (Unaudited 
and restated)
------------------------- -------------------------
Continuing operations
Revenue 2,338,312 2,296,849
Operating costs (1,118,826) (1,159,889)
------------------------- -------------------------
Gross profit 1,219,486 1,136,960
Securities investment gains 136,766 46,937
Other income 51,462 76,276
Administrative expenses (15,474) (14,429)
Other expenses 319 (11,079)
Share of profit of associates 46,064 3,798
Share of profit (loss) of a joint venture 1,677 (1,173)
Finance costs (176,159) (180,614)
------------------------- -------------------------
Profit before tax 1,264,141 1,056,676
Income tax expense (290,393) (266,819)
------------------------- -------------------------
Profit for the Period from continuing operations 973,748 789,857
------------------------- -------------------------
Discontinued operations
Profit for the Period from discontinued operations -- 8,620
------------------------- -------------------------
Profit for the Period 973,748 798,477
------------------------- -------------------------
Profit for the Period attributable to
    owners of the Company
    -- Continuing operations 792,735 653,420
    -- Discontinued operations -- 8,401
------------------------- -------------------------
792,735 661,821
------------------------- -------------------------
Profit for the Period attributable to non-controlling interest
    -- Continuing operations 181,013 136,437
    -- Discontinued operations -- 219
------------------------- -------------------------
181,013 136,656
------------------------- -------------------------
973,748 798,477
================ ================
Other comprehensive (loss) income
Items that may be reclassified subsequently
  to profit or loss:
Available-for-sale financial assets:
    -- Fair value gain during the Period 44,319 19,401
    -- Reclassification adjustments for cumulative
        gain included in profit or loss upon disposal (47,970) (11,716)
Share of differences arising on translation (45) (160)
Income tax relating to items that may be reclassified
  subsequently
913 (1,921)
------------------------- -------------------------
Other comprehensive (loss) income for the Period, net of
  income tax (2,783) 5,604
------------------------- -------------------------
Total comprehensive income for the Period 970,965 804,081
================ ================

Total comprehensive income for the Period 
  attributable to:
     Owners of the Company 791,284 664,744
     Non-controlling interest 179,681 139,337
------------------------- -------------------------
970,965 804,081
Earnings per share ================ ================
From continuing and discontinued operations -- Basic and diluted Rmb18.25 cents Rmb 15.24 cents
================ ================
From continuing operations -- Basic and diluted Rmb18.25 cents Rmb 15.04 cents
================ ================

   

CONDENSED CONSOLIDATED STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME
For the three months 
ended March 31,
2017 2016
Rmb'000 Rmb'000
(Unaudited) (Unaudited and
restated)
------------------------- -------------------------
Continuing operations
Revenue 2,338,312 2,296,849
Operating costs (1,118,826) (1,159,889)
------------------------- -------------------------
Gross profit 1,219,486 1,136,960
Securities investment gains 136,766 46,937
Other income 51,462 76,276
Administrative expenses (15,474) (14,429)
Other expenses 319 (11,079)
Share of profit of associates 46,064 3,798
Share of profit (loss) of a joint venture 1,677 (1,173)
Finance costs (176,159) (180,614)
------------------------- -------------------------
 Profit before tax 1,264,141 1,056,676
Income tax expense (290,393) (266,819)
------------------------- -------------------------
Profit for the Period from continuing operations 973,748 789,857
------------------------- -------------------------
Discontinued operations
Profit for the Period from discontinued operations -- 8,620
------------------------- -------------------------
Profit for the Period 973,748 798,477
------------------------- -------------------------
Profit for the Period attributable to
    owners of the Company
-- Continuing operations 792,735 653,420
-- Discontinued operations -- 8,401
------------------------- -------------------------
792,735 661,821
------------------------- -------------------------
Profit for the Period attributable to non-controlling interest
-- Continuing operations 181,013 136,437
-- Discontinued operations -- 219
------------------------- -------------------------
181,013 136,656
------------------------- -------------------------
973,748 798,477
================ ================
Other comprehensive (loss) income
Items that may be reclassified subsequently
  to profit or loss:
Available-for-sale financial assets:
  -- Fair value gain during the Period 44,319 19,401
  -- Reclassification adjustments for cumulative
        gain included in profit or loss upon disposal
(47,970) (11,716)
Share of differences arising on translation (45) (160)
Income tax relating to items that may be reclassified
  subsequently
913 (1,921)
------------------------- -------------------------
Other comprehensive (loss) income for the Period, net of
  income tax
(2,783) 5,604
------------------------- -------------------------
Total comprehensive income for the Period 970,965 804,081
================ ================
Total comprehensive income for the Period
  attributable to:
     Owners of the Company 791,284 664,744
     Non-controlling interest 179,681 139,337
------------------------- -------------------------
970,965 804,081
Earnings per share ================ ================
From continuing and discontinued operations -- Basic and diluted Rmb18.25 cents Rmb 15.24 cents
================ ================
From continuing operations -- Basic and diluted Rmb18.25 cents Rmb 15.04 cents
================ ================

   


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CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION
As at 
March 31, 
201
7
As at
December 31,
2016
Rmb'000 Rmb'000
(Unaudited (Audited)
------------------- -------------------
Non-current assets 20,007,874 21,603,208
Current assets 54,203,829 52,158,224
Current liabilities 42,975,445 42,507,358
------------------- -------------------
Net current assets 11,228,384 9,650,866
-------------------- --------------------
Total assets less current liabilities 31,236,258 31,254,074
-------------------- --------------------
Non-current liabilities 6,089,366 7,078,147
-------------------- --------------------
25,146,892 24,175,927
============= =============
Capital and Reserves
      Share capital 4,343,115 4,343,115
Reserves 14,765,326 13,974,042
-------------------- --------------------
Equity attributable to owners of the Company 19,108,441 18,317,157
Non-controlling interests 6,038,451 5,858,770
-------------------- --------------------
25,146,892 24,175,927
============= =============

   

CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS
For the three months
ended March 31,
2017 2016
Rmb'000 Rmb'000
(Unaudited) (Unaudited)

--------------------
--------------------
Net cash (used in) from operating activities (1,144,645) 100,515
Net cash from (used in) investing activities 1,499,420 (229,841)
Net cash used in financing activities (3,448,141) (1,416,100)
--------------------
--------------------
Net decrease in cash and cash equivalents (3,093,366) (1,545,426)
Cash and cash equivalents at beginning of the Period 7,198,745 4,983,051
Effect of foreign exchange rate changes (45) (160)

--------------------

--------------------
Cash and cash equivalents at end of the Period 4,105,334 3,437,465
============= =============

By Order of the Board            
Zhejiang Expressway Co., Ltd.     
ZHAN Xiaozhang              
Chairman                   

Hangzhou, the PRC, April 28, 2017

As at the date of this announcement, the executive directors of the Company are: Mr. ZHAN Xiaozhang, Mr. CHENG Tao and Ms. LUO Jianhu; the non-executive directors of the Company are:  Mr. WANG Dongjie, Mr. DAI Benmeng, and Mr. ZHOU Jianping; and the independent non-executive directors of the Company are: Mr. ZHOU Jun, Mr. PEI Ker-Wei and Ms. LEE Wai Tsang, Rosa.


 


 

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