Page 68 - Interloop Annual Report 2018-2019
P. 68

LAST SIX YEARS STATEMENT OF                                                                                                   HORIZONTAL ANALYSIS ON


            FINANCIAL POSITION                                                                                                            STATEMENT OF FINANCIAL

                                                                                                                                          POSITION





            Particulars                         2019       2018       2017      2016       2015       2014                                Particulars                      2019 vs 2018  2018 vs 2017  2017 vs 2016  2016 vs 2015  2015 vs 2014  2014 vs 2013
                                                                        Rupees in ‘000                                                                                                                 Percentage
            Assets                                                                                                                        Assets

                                                                                                                                          Non Current Assets
            Non Current Assets                                                                                                            Property, plant and equipment           18%        13%       16%         2%        12%        29%
            Property, plant and equipment       18,256,474    15,451,969    13,639,799    11,710,739    11,443,616    10,196,342          Intangible Asset                        56%       -10%       35%        23%        -11%       73%
            Intangible Asset                       66,161     42,410     47,205    34,923     28,356     31,792                           Long term investments                  165%       -73%        0%        16%        45%        37%
            Long term investments                1,008,735    380,549    1,400,159    1,400,159    1,204,452    830,087                   Long term loans                          8%        21%       -21%      119%         3%        41%
            Long term loans                        65,762     60,747     50,027    63,227     28,853     28,132                           Long term deposits                      12%       -15%       -39%       -33%       14%        15%
            Long term deposits                     28,019     25,055     29,372    48,356     71,870     62,945
                                                                                                                                          Total non current assets                22%        5%        14%         4%        15%        29%
            Total non current assets            19,425,151    15,960,730    15,166,563    13,257,404    12,777,147    11,149,298
                                                                                                                                          Current Assets
            Current Assets                                                                                                                Stores and spares                       14%        12%       19%         4%         1%        13%
            Stores and spares                     887,659    779,198    696,743    583,261    559,983    556,955                          Stock in trade                          23%        44%       12%        -21%       -9%        15%
            Stock in trade                       6,282,491    5,121,718    3,565,881    3,176,741    4,005,721    4,422,082               Trade debts                             13%        51%        1%        12%        22%        -1%
            Trade debts                          8,247,740    7,293,008    4,814,220    4,778,114    4,277,049    3,501,181               Loan and advances                       72%       -39%       62%       113%        -58%        7%
            Loan and advances                    1,063,342    617,743    1,007,837    621,987    292,616    702,803                       Deposits, prepayments and other receivables  14%  -63%       111%      141%        -20%       22%
            Deposits, prepayments and other receivables   204,985    179,864    480,505    227,858    94,516    118,055                   Tax refunds due from government        -21%        24%       107%        2%        12%        48%
            Tax refunds due from government      1,925,439    2,451,806    1,971,626    952,073    930,589    827,858                     Short term investments                 719%       -79%       100%        0%         0%         0%
            Short term investments               1,207,251    147,425    716,526       -          -          -                            Deferred employee share option compensation
            Deferred employee share option compensation    -      5,014    968         -          -          -                            expense                                -100%      418%       100%        0%         0%         0%
            expense                                                                                                                       Cash and bank balances                 694%       231%       14%        20%        -56%       88%
            Cash and bank balances               1,538,564    193,687    58,599    51,374     42,660     96,408
                                                                                                                                          Total current assets                    27%        26%       28%         2%         0%        11%
            Total current assets                21,357,471    16,789,463    13,312,905    10,391,408    10,203,134    10,225,343
                                                                                                                                          Total Assets                            25%       15%        20%         3%         8%        20%
            Total Assets                        40,782,622    32,750,193    28,479,468    23,648,813    22,980,281    21,374,641
            Equaty & Liabilities                                                                                                          Equity & Liabilities


            Equity                                                                                                                        Equity
            Issued, subscribed and paid up capital   8,721,975    1,901,104    1,899,385    1,896,000    1,896,000    1,896,000           Issued, subscribed and paid up capital  359%       0%         0%         0%         0%        50%
            Reserves                             3,791,602    38,863     21,052        -          -          -                            Reserves                              9656%        85%       100%        0%         0%         0%
            Unappropriated profit                5,366,207    7,142,570    12,522,990    10,560,457    7,522,173    5,889,245             Unappropriated profit                  -25%       -43%       19%        40%        28%        12%
            Total equity                        17,879,784    9,082,537    14,443,427    12,456,457    9,418,173    7,785,245
                                                                                                                                          Total equity                            97%       -37%       16%        32%        21%        19%
            Non current liabilities                                                                                                       Non current liabilities
            Long term financing                  3,628,745    2,247,936    1,916,475    3,133,871    4,451,888    4,486,997               Long term financing                     61%        17%       -39%       -30%       -1%        25%
            Liabilities against assets subject to finance lease   -      615    1,084    -      146,080    128,360                        Liabilities against assets subject to finance lease  -100%  -43%  100%  -100%      14%        30%
            Deferred liabilities                 2,482,623    1,925,612    1,572,461    1,262,174    984,358    746,857                   Deferred liabilities                    29%        22%       25%        28%        32%        45%

            Total non current liabilities        6,111,368    4,174,163    3,490,020    4,396,045    5,582,326    5,362,214               Total non current liabilities           46%        20%       -21%       -21%        4%        27%
            Current liabilities                                                                                                           Current liabilities
            Trade and other payables             3,576,861    2,730,414    1,815,056    2,159,892    1,641,861    1,790,580               Trade and other payables                31%        50%       -16%       32%        -8%        19%
            Dividend payable                      130,935    475,276        -          -          -          -                            Dividend payable                       -72%       100%        0%         0%         0%         0%
            Accrued mark up                       110,483    137,856     83,140    88,958     166,495    214,844                          Accrued mark up                        -20%        66%        -7%       -47%       -23%       31%
            Short term borrowings               11,726,000    15,180,937    7,636,573    3,255,000    5,055,000    5,360,000              Short term borrowings                  -23%        99%       135%       -36%       -6%         9%
            Taxes payable                              -          -         -          -          -      13,726                           Taxes payable                            0%        0%         0%       100%       -100%       89%
            Current portion of non current liabilities   1,247,191    969,010    1,011,252    1,292,461    1,116,426    848,032           Current portion of non current liabilities  29%    -4%       -22%       16%        32%        83%

            Total current liabilities           16,791,470    19,493,493    10,546,021    6,796,310    7,979,782    8,227,182             Total current liabilities              -14%        85%       55%        -15%       -3%        16%      2018 - 19
       Interloop Limited  Total equity and liabilities   40,782,622    32,750,193    28,479,468    23,648,813    22,980,281    21,374,641   Total equity and liabilities          25%       15%        20%         3%         8%        20%      Annual Report
                                                                            -
                                                                  -
                                                       -
                                                                                                             -
                                                                                                  -
                                                                                       -
                                                                                                                                                                                                        0%
                                                                                                                                                                                                                   0%
                                                                                                                                                                                                                              0%
                                                                                                                                                                                                                                         0%
                                                                                                                                                                                   0%
                                                                                                                                                                                             0%
     66                                                                                                                                                                                                                                        67
   63   64   65   66   67   68   69   70   71   72   73