Consolidated Statement of Comprehensive Income For the half-year ended 31 December 2013
Half-year Notes 2013 2012 $ $ Revenue from continuing operations 2 3,425,937 2,589,355 Cost of sales, service & warranty 4 (4,893,906) (3,844,625) -------------- --------------------- Gross profit/(loss) (1,467,969) (1,255,270) Other income 3 421,216 471,916 Research & Product Development (3,933,071) (4,297,603) Manufacturing (1,540,820) (958,597) General & Administration (4,129,040) (4,952,071) Sales & Marketing (1,860,516) (1,197,433) Impairment Reversal / (Charge) 1,973,570 (342,297) Other Gains / (Losses) - Foreign exchange (866,662) (41,430) Finance costs (447,505) (36,497) Loss before income tax (11,850,797) (12,609,282) Income tax benefit 4,022,582 - -------------- --------------------- Loss for the half-year entirely attributable to members of Ceramic Fuel Cells Limited (7,828,215) (12,609,282) Other comprehensive income Items which may be reclassified to profit or loss Exchange differences on translation of foreign operations 1,408,090 759,294 Other comprehensive income for the half-year, net of tax 1,408,090 759,294 Total comprehensive income/(expense) for the half-year entirely attributable to members of Ceramic Fuel Cells Limited (6,420,125) (11,849,988) ============== ===================== Cents Cents Earnings per share for loss attributable to the ordinary equity holders of the company Basic and diluted earnings per share 15 (0.49) (0.86)
The above consolidated statement of comprehensive income should be read in conjunction with the accompanying notes.
Consolidated Balance Sheet
As at 31 December 2013
31 December 30 June Notes 2013 2013 $ $ ASSETS Current Assets Cash and cash equivalents 5 9,034,469 10,010,131 Trade and other receivables 6 1,994,070 1,355,437 Inventories 7 12,462,287 9,974,671 Other 368,044 825,506 ---------------- -------------- Total Current Assets 23,858,870 22,165,745 ---------------- -------------- Non-Current Assets Plant and equipment 11,070,983 10,923,676 Intangible assets 1,000 1,000 Other 235,551 235,551 ---------------- -------------- Total Non-Current Assets 11,307,534 11,160,227 ---------------- -------------- Total Assets 35,166,404 33,325,972 ---------------- -------------- LIABILITIES Current Liabilities Trade and other payables 3,266,882 2,328,053 Borrowings 8 360,065 6,145,958 Derivative financial instruments 9 - 663,878 Provisions 10 2,896,219 3,406,824 Other liabilities 11 926,693 862,431 ---------------- -------------- Total Current Liabilities 7,449,859 13,407,144 ---------------- -------------- Non-Current Liabilities Borrowings 8 7,407,152 854,947 Derivative financial instruments 9 758,690 - Provisions 10 2,613,025 1,632,758 Other liabilities 11 1,742,115 1,684,801 ---------------- -------------- Total Non-Current Liabilities 12,520,982 4,172,506 ---------------- -------------- Total Liabilities 19,970,841 17,579,650 ---------------- -------------- Net Assets 15,195,563 15,746,322 ================ ============== EQUITY Contributed equity 13(b) 295,520,243 289,650,877 Reserves 3,735,332 2,327,242 Retained profits/(losses) (284,060,012) (276,231,797) ---------------- -------------- Total Equity 15,195,563 15,746,322 ================ ==============
The above consolidated balance sheet should be read in conjunction with the accompanying notes.
Consolidated Statement of Changes in Equity
For the half-year ended 31 December 2013
Entirely attributable to owners of Ceramic Fuel Cells Limited ------------------------------------------------------- Note Contributed Reserves Retained Total equity earnings equity $ $ $ $ Balance at 1 July 2012 277,282,387 68,950 (256,454,181) 20,897,156 Profit/(loss) for the half-year - - (12,609,282) (12,609,282) Other comprehensive income - 759,294 - 759,294 ------------ ---------- -------------- ------------- Total comprehensive income for the half-year - 759,294 (12,609,282) (11,849,988) Transactions with owners in their capacity as owners Contributions of equity, net of transaction costs 11,085,544 - - 11,085,544 Employee shares - value of employee services 190,440 - - 190,440 Employee share options - value of employee services - 41,342 - 41,342 Balance at 31 December 2012 288,558,371 869,586 (269,063,463) 20,364,494 Balance at 1 July 2013 289,650,877 2,327,242 (276,231,797) 15,746,322 Profit/(loss) for the half-year - - (7,828,215) (7,828,215) Other comprehensive income - 1,408,090 - 1,408,090 ------------ ---------- -------------- ------------- Total comprehensive income for the half-year - 1,408,090 (7,828,215) (6,420,125) Transactions with owners in their capacity as owners Contributions of equity, net of transaction costs 13(b) 5,517,155 - - 5,517,155 Conversion of loan notes 335,514 - - 335,514 Employee shares - net value of services provided/(reversed on forfeiture) 13(b) (6,520) - - (6,520) Employee shares - net proceeds from sale of forfeited shares 23,217 - - 23,217 Balance at 31 December 2013 295,520,243 3,735,332 (284,060,012) 15,195,563 ============ ========== ============== =============
The above consolidated statement of changes in equity should be read in conjunction with the accompanying notes.
Consolidated Statement of Cash Flows
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