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Eng - IOI Group

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groupfinancialoverviewBalance Sheet As At 30 June 2002 (RM million)Cash Flow for The Financial Year Ended 30 June 2003 (RM million)4527862,6651,668AssetsProperty, plant and equipmentOther long term assetsOther current assetsCash and cash equivalents (a)Net operating cash flow 777Capital expenditure, net of disposal (193)Free cash flow from operation 584Proceeds from shares issued 604Proceeds from disposal of investments,net of payments for other investments 90Acquisition of Loders Croklaans,net of cash balance and borrowings (831)Acquisition of Pamol Plantations,net of cash balance and borrowings (531)Acquisition of additional share in Palmco (110)Investment in development land bank (64)Share repurchases (115)Interest payments (86)Dividend payments– Shareholders of the Company (135)– Shareholders of subsidiary (38)Net increase in net borrowings (632)Net borrowings as at 30.06.02 (640)Translation difference (122)Net borrowings as at 30.06.03 (1,394)Segmental Contributions To Operating Profit (RM million)6599281,96929%60%1,09292311%0%<strong>IOI</strong> Corporation BerhadAnnual Report 200332Shareholders’ Equity and LiabilitiesRetained profitsShare capital and other reservesBorrowings (b)Minority interestsOther liabilitiesNet borrowings = (b) – (a) = RM640 million, Net gearing = 22.1%Plantations 530 / 60%Properties 255 / 29%Resource-based Manufacturing 96 / 11%Others 2 / 0%883 / 100%

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