For the year ended 31 December 2006
Profit before taxation and exceptional items
1,933,982
3,576,257
Exceptional items
1,072,137,083
Taxation
437,007
1,072,492,627
Profit after taxation
766,248
2,327,060
Extraordinary items
285,248
Taxation
437,007
1,072,492,627
Profit after taxation
1,051,496
2,327,060
Extraordinary items
285,248
Minority interest
-8,918
-12,702
Profit retained
1042578
2314358
Earnings per share (kobo) -Basic
80
178
Dividend per share (kobo)
30
60
For the period ended 31 December 2006
Cash flows from operating activities
Cash receipts from customers
59,989,047
55,425,794
Cash payments to suppliers and employees
1,027,331,616
1,023,624,457
Cash generated from operations
13,578,839
5,308,427
Gratuity paid
1,072,435,675
1,072,916,103
Taxes paid
-363,900
1,072,818,953
Net cash provided by operating activities
11908790
3559835
cash flows from investing activities
Proceeds from sale of investment
310,716
Interest received
14,462
16,190
Purchase of fixed assets
1,066,101,523
1,065,161,915
Proceeds from sale of fixed assets
18,228
14,874
Net cash provided by investing activities
-7296895
-8548845
Cash flows from financing activities
Interest paid
-647,748
-143,929
Lease repayment
-29,459
-75,977
Dividend paid
1,071,929,858
1,073,152,187
Net cash provided by financing activities
-2489173
-809543
Increase/(decrease) in cash and cash equivalent
2,122,722
1,067,943,271
Cash and cash equivalents at 1 January
1,066,682,506
1,072,481,059
Cash and cash equivalent at 31 December
-4936596
-7059318
Investment Valuation Ratios
Liquidity And Solvency Ratios
Working Capital
32,833,528
Cash Flow Indicator Ratios
Earning Retention Ratio
2.72%
Net Asset Per Share(N)
1,308,733,859
Return on Net fixed assets
Return on Invested Capital
1,051,496