GROUP FINANCIAL HIGHLIGHTS

2011
2010
US$
US$
Consolidated Income Statement
Revenue
21,930,331
13,843,061
Operating profit
7,792,464
2,076,261
Net interest paid
(1,129,633)
(320,017)
Profit before taxation
6,662,831
1,756,244
Profit/Loss after taxation
5,030,969
7,233,902
Consolidated Statement of Financial Position
Equity attributable to equity holders of parent company
104,914,395
99,883,426
Net Cash Resources
(2,112,970)
(2,890,117)
Interest-Bearing Debt
7,213,345
4,701,371
Consolidated Statement of Cash Flow
Net Increase/ (Decrease) in cash & cash equivalents
777,147
(2,986,804)
Ordinary Share Performance
Basic loss per share
0.12
0.17
Headline loss per share
0.12
0.17
Market price per share at 30 June
0.35
0.38
Shares in issue (Shares)
42,942,487
42,942,487
Other
Profit before interest and taxation return on total assets
5.34%
1.53%
Profit after tax return on shareholders’ funds
4.80%
7.24%
Net asset value per share (US$)   
3.18
  
3.00
Debt to equity
6.88%
4.71%
Current ratio
0.94:1
0.92:1
Interest cover
6.90
6.49
Number of employees
3,012
2,530
Value Added per employee (US$ )
5,383
4,857
Employment cost per employee
4,122
3,841

 

AUDITED RESULTS FOR YEAR ENDED 30 JUNE 2011 (click here)

AUDITED ANNUAL REPORT 2010 (click here)

AUDITED ANNUAL REPORT 2009 (click here)

AUDITED ANNUAL REPORT 2008 (click here)

AUDITED ANNUAL REPORT 2007 (click here)

AUDITED ANNUAL REPORT 2006 (click here)