Banking

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REPRODUCED INCOME STATEMENT

SALES
Less: Government levies
NET SALES
Less: Cost of sales
GROSS PROFIT
Other income
Profit from operations

Selling and Distribution cost

Administrative expenses

Other operating expenses


Finance cost
NET PROFIT BEFORE TAXATION
Taxation
NET PROFIT AFTER TAXATION

Earnings per share - Basic (Rupees)


Earnings per share - Diluted (Rupees)
Earnings per share - Diluted and Basic(Rupees)

ME STATEMENT
FY12

FY11

FY10

FY12(DGKC)

Rupees'000

Rupees'000

Rupees'000

Rupees'000

5,788,302

4,902,396

-1,045,709

-1,093,941

11,523,050

4,742,593

3,808,455

22,949,853

-8,454,600

-3,919,540

-3,292,871

-15,443,098

3,068,450

823,053

515,584

7,506,755

26,519

28,053

27,220

1,187,936

5,723,250

-101,642

-74,149

-47,737

-2,202,901

-129,180

-147,938

-103,490

-267,705

-72,457

-36,944

-25,460

-500,835

-1,825,445

-103,922

-41,206

-1,670,784

966,245

488,153

324,911

4,052,466

-413,655

-62,492

-74,732

55,652

552,590

425,661

250,179

4,108,118

0.29

0.52

0.31

0.29

0.34

0.3
9.38

FY12
Rupees'000
SHARE CAPITAL AND RESERVES
Share capital
Advance against issue of shares
Reserves

13,798,150
6 106,955
13,905,105

NON - CURRENT LIABILITIES


Subordinated loan - unsecured

Long term financing - secured

10,174,513

Fair value of derivative


Deferred tax liability - net

1,104,823

CURRENT LIABILITIES
Trade and other payables

1,778,447

Markup accrued

349,377

Short term borrowings - secured

985,954

Current portion of long term financing

2,380,395
5,494,173

Total Equity and Liabilities

30,703,465

NON - CURRENT ASSETS


Property, plant and equipment
Long term advance

25,897,954
3,600

Long term deposits and prepayments

642,093

CURRENT ASSETS
Stores, spares and loose tools

2,554,433

Stock in trade

955,337

Trade debts

64,241

Advances

13,077

Trade deposits, short term prepayments


and balances with statutory authority

192,024

Interest accrued

393

Other receivables

165,242

Cash and bank balances

215,071

4,159,818

Total Assets

30,703,465

FY11

FY10

Rupees'000

Rupees'000

7,419,887

7,419,887

861,871

2,732,259

2,190,798

11,014,017

9,610,685

3,189,000

400,000

11,805,480

11,909,030

72,026

794,918

788,636

1,290,968

1,698,674

444,297

349,130

1,901,333

865,727

1,748,142

1,071,384

5,384,740

3,984,915

32,210,829

26,779,999

26,658,079

23,819,040

4,500

5,400

756,124

884,841

2,444,173

1,060,533

493,922

96,684

36,960

24,514

40,733

46,981

769,467

601,364

836

567

27,188

47,858

978,847

192,217

4,792,126

2,070,718

32,210,829

26,779,999

FY12
Rupees'000
EQUITY AND LIABILITIES
Capital and reserves
Authorised capital
- 950,000,000 (2011: 950,000,000) ordinary
shares of Rs 10 each

9,500,000

- 50,000,000 (2011: 50,000,000) preference


shares of Rs 10 each

500,000
10,000,000

Issued, subscribed and paid up capital


438,119,118 (2011: 438,119,118) ordinary
shares of Rs 10 each
Reserves
Accumulated profit

4,381,191
6 23,562,612
4,986,829
32,930,632

Non-current liabilities
Long term finances

4,629,083

Long term deposits

68,355

Retirement and other benefits

185,116

Deferred taxation

1,666,069

Current liabilities
Trade and other payables
Accrued markup

2,108,894
162,931

Short term borrowing-secured

6,733,467

Current portion of non-current liabilities

2,165,561

Provision for taxation

35,090
11,205,943

Total Equities and Liabilities

50,685,198

ASSETS
Non-current assets
Property, plant and equipment
Intangible assets
Investments
Long term loans, advances and deposits

27,185,726
73,808
4,864,945
120,342
32,244,821

Current assets
Stores, spares and loose tools

4,137,262

Stock-in-trade

954,645

Trade debts

317,970

Investments

11,126,051

Advances, deposits, prepayments and other


receivables

1,476,008

Cash and bank balances

428,441
18,440,377

Total Assets

50,685,198

2012 (FCCL)
Rupees'000
Cash flows from operating activities
Net profit before taxation
Adjustments for:
Depreciation
Provision for compensated absences
Reveral of provision of bad debts
Workers' (Profit) Participation Fund
including interest and WWF
Finance cost
(Gain)/ loss on disposal of property,
Interest income including interest on
long term advance
Operating cash flows before working
capital changes
Increase in stores and stocks
Long term deposits - net
Decrease in long-term deposits and
prepayments
Decrease in long-term advance
Decrease in retention money
Increase in trade debts
Decrease in advances
Decrease /(increase) in trade deposits,
short term prepayments and balance
with statutory authority
Decrease in other receivables
Increase in trade and other payables
Cash generated from/ (used in)
operating activities
Compensated absences paid
Payment to Workers' (Profit)
Participation Fund
Taxes paid

2011(FCCL)
Rupees'000

966,245

488,153

1,070,083
20,321
-

392,137
28,134
-

71,455

36,033

1,825,187
-7,523

103,858
140

-9,343

-9,898

2,970,180

550,404

3,936,425

1,038,557

-571,675
-

-1,780,878
-

15,559

900
-27,281
27,656

900
-12,446
6,248

586,815

-146,507

2,193

20,670

512,827

240,901

531,437

-1,655,553

4,467,862

-616,996

-21,651

-17,424

-26,464

-17,534

-114,248

-84,314

Net cash generated from/ (used in)


operating activities
Cash flows from investing activities
Additions in property, plant and
equipment excluding borrowing cost
capitalized
Proceeds from disposal of property,
plant and equipment
Long term loans, advances and
deposits - net
Dividends Received
Interest received on bank deposits and
long term advance
Net cash used in investing activities
Cash flows from financing activities
Repayment of long term finances
Proceeds from long-term loans
Repayment of sub-ordinated loan
Proceeds from long-term finances
Proceeds from issue of shares - net of
transaction cost
Advance against issue of shares - net
Dividend paid on ordinary shares
Dividend paid on preference shares
(Payment)/proceeds from short term
borrowings
Payment of guarantee premium and
other cost
Finance cost paid
Net cash (used in)/ generated from
financing activities
(Decrease) / increase in cash and cash
equivalents
Cash and cash equivalents at
beginning of the year
Cash and cash equivalents at end of the
year

4,305,499

-736,268

-142,147

-1,402,563

7,853

4,809

9,786

9,629

-124,508

-1,388,125

-1,671,082
-3,189,000
-3,289,000

3,289,000
-

2,325,555

-66,885

854614
-8
-33,443

-466,375

607,284

-11,238

-1,427,975

-2,223,508

-4,495,762

2,482,701

-314,771

358,308

483,888

125,580

169,117

483,888

2010(FCCL)

2012 (DGKC)
Rupees'000
-

324,911
327,130
19,435
-1,567

25,407

40,284
-982

-1,792,708
-

-12,544

397,163
722,074

18,312
-

-2,538

124,142

900
-143,739
31,694
-9,622

-373,013

-2,390

206,935

-146,781
575,293

6,162,787

-13,825

-75,874

-20,205

-106,678

-335,702

378,916

4,011,634

-3,006,336

-2,751,451

4,324

30,300

12,877

1,058,707

12,694

52,735

-2,989,318

-1,596,832

-325,000
4,244,000
-

-2,132,049

-7
-16,721

379,090

-1,375,549

2,905,813

-225,667

295,411

2,189,135

-169,831

-8,494,161

125,580

-6,305,026

1,906,382

Income statement

SALES
Less: Government levies
NET SALES
Less: Cost of sales
GROSS PROFIT
Other income
Profit from operations
Selling and Distribution cost
Administrative expenses
Other operating expenses
Finance cost
NET PROFIT BEFORE TAXATION
Taxation
NET PROFIT AFTER TAXATION

SHARE CAPITAL AND RESERVES


Share capital

Advance against issue of shares


Reserves

NON - CURRENT LIABILITIES


Subordinated loan - unsecured
Long term financing - secured
Fair value of derivative
Deferred tax liability - net
CURRENT LIABILITIES
Trade and other payables
Markup accrued
Short term borrowings - secured
Current portion of long term financing

Total Equity and Liabilities


NON - CURRENT ASSETS
Property, plant and equipment
Long term advance
Long term deposits and prepayments
CURRENT ASSETS
Stores, spares and loose tools
Stock in trade
Trade debts
Advances

Trade deposits, short term prepayments and balances with statutory authority
Interest accrued
Other receivables
Cash and bank balances

Total Assets

CASH FLOW STATMENT


(USED AS A PERCENTAGE OF NET SALES
NET SALES

Cash flows from operating activities


Net profit before taxation
Adjustments for:
Depreciation
Provision for compensated absences
Reveral of provision of bad debts
Workers' (Profit) Participation Fund including interest and WWF
Finance cost
(Gain)/ loss on disposal of property, plant and equipment
Interest income including interest on long term advance
Operating cash flows before working capital changes
Increase in stores and stocks

Long term deposits - net


Decrease in long-term deposits and prepayments
Decrease in long-term advance
Decrease in retention money
Increase in trade debts
Decrease in advances
Decrease /(increase) in trade deposits, short term prepayments and balance with statutory authority
Decrease in other receivables
Increase in trade and other payables
Cash generated from/ (used in) operating activities
Compensated absences paid
Payment to Workers' (Profit) Participation Fund
Taxes paid
Net cash generated from/ (used in) operating activities
Cash flows from investing activities
Additions in property, plant and equipment excluding borrowing cost capitalized
Proceeds from disposal of property, plant and equipment
Long term loans, advances and deposits - net
Dividends Received
Interest received on bank deposits and long term advance
Net cash used in investing activities
Cash flows from financing activities
Repayment of long term finances
Proceeds from long-term loans
Repayment of sub-ordinated loan
Proceeds from long-term finances
Proceeds from issue of shares - net of transaction cost
Advance against issue of shares - net
Dividend paid on ordinary shares
Dividend paid on preference shares
(Payment)/proceeds from short term borrowings
Payment of guarantee premium and other cost
Finance cost paid
Net cash (used in)/ generated from financing activities
(Decrease) / increase in cash and cash equivalents
Cash and cash equivalents at beginning of the year
Cash and cash equivalents at end of the year

COMMON SIZE ANALYSIS


Income statement

SALES
Less: Government levies
NET SALES
Less: Cost of sales
GROSS PROFIT
Other income
Profit from operations
Selling and Distribution cost
Administrative expenses
Other operating expenses
Finance cost
NET PROFIT BEFORE TAXATION
Taxation
NET PROFIT AFTER TAXATION

BALANCE SHEET

FC

SHARE CAPITAL AND RESERVES


Share capital

Advance against issue of shares


Reserves

NON - CURRENT LIABILITIES


Subordinated loan - unsecured
Long term financing - secured
Fair value of derivative
Deferred tax liability - net
CURRENT LIABILITIES
Trade and other payables
Markup accrued
Short term borrowings - secured
Current portion of long term financing

Total Equity and Liabilities


NON - CURRENT ASSETS
Property, plant and equipment
Long term advance
Long term deposits and prepayments
CURRENT ASSETS
Stores, spares and loose tools
Stock in trade
Trade debts
Advances

Trade deposits, short term prepayments and balances with statutory authority
Interest accrued
Other receivables
Cash and bank balances

Total Assets

CASH FLOW STATMENT


(USED AS A PERCENTAGE OF NET SALES
NET SALES

Cash flows from operating activities


Net profit before taxation
Adjustments for:
Depreciation
Provision for compensated absences
Reveral of provision of bad debts
Workers' (Profit) Participation Fund including interest and WWF
Finance cost
(Gain)/ loss on disposal of property, plant and equipment
Interest income including interest on long term advance
Operating cash flows before working capital changes
Increase in stores and stocks

Long term deposits - net


Decrease in long-term deposits and prepayments
Decrease in long-term advance
Decrease in retention money
Increase in trade debts
Decrease in advances
Decrease /(increase) in trade deposits, short term prepayments and balance with statutory authority
Decrease in other receivables
Increase in trade and other payables
Cash generated from/ (used in) operating activities
Compensated absences paid
Payment to Workers' (Profit) Participation Fund
Taxes paid
Net cash generated from/ (used in) operating activities
Cash flows from investing activities
Additions in property, plant and equipment excluding borrowing cost capitalized
Proceeds from disposal of property, plant and equipment
Long term loans, advances and deposits - net
Dividends Received
Interest received on bank deposits and long term advance
Net cash used in investing activities
Cash flows from financing activities
Repayment of long term finances
Proceeds from long-term loans
Repayment of sub-ordinated loan
Proceeds from long-term finances
Proceeds from issue of shares - net of transaction cost
Advance against issue of shares - net
Dividend paid on ordinary shares
Dividend paid on preference shares
(Payment)/proceeds from short term borrowings
Payment of guarantee premium and other cost
Finance cost paid
Net cash (used in)/ generated from financing activities
(Decrease) / increase in cash and cash equivalents
Cash and cash equivalents at beginning of the year
Cash and cash equivalents at end of the year

LYSIS
FCCL
FY12

FCCL

%of revenues

FY11

%of revenue

Rupees'000

Rupees'000

5,788,302

122.0493093

-1,045,709

-22.04930931

11,523,050

100

4,742,593

100

-8,454,600

-73.37119947

-3,919,540

-82.64550637

3,068,450

26.62880053

823,053

17.35449363

26,519

0.230138722

28,053

0.591511859

-101,642

-0.882075492

-74,149

-1.563469604

-129,180

-1.121057359

-147,938

-3.119348424

-72,457

-0.628800535

-36,944

-0.778983143

-1,825,445

-15.84168254

-103,922

-2.191248543

966,245

8.38532333

488,153

10.29295577

-413,655

-3.589804783

-62,492

-1.317675795

552,590

4.795518548

425,661

8.975279979

% of total assets

FY11

FCCL
FY12
Rupees'000

13,798,150

% of total assets

Rupees'000

44.94004178

7,419,887

23.03538043

861,871

2.675718157

6106955

19.89011664

2,732,259

8.482423722

13,905,105

45.28839009

11,014,017

34.19352231

3,189,000

9.900397161

11,805,480

36.65065559

10,174,513

33.13799599

1,104,823

3.598365852

794,918

2.467859489

1,778,447

5.792333211

1,290,968

4.007869527

349,377

1.137907399

444,297

1.37934047

985,954

3.211214109

1,901,333

5.90277574

2,380,395

7.752854605

1,748,142

5.427187236

5,494,173

17.89430932

5,384,740

16.71717297

30,703,465

100

32,210,829

100

84.34863622
25,897,954

84.34863622

26,658,079

82.76123226

3,600

0.011725061

4,500

0.013970457

642,093

2.091272109

756,124

2.347421732

2,554,433

8.319689651

2,444,173

7.588047486

955,337

3.111495722

493,922

1.533403564

64,241

0.209230457

36,960

0.11474402

13,077

0.042591284

40,733

0.126457472

192,024

0.625414754

769,467

2.388845689

393

0.001279986

836

0.0025954

165,242

0.538186814

27,188

0.084406396

215,071

0.700477943

978,847

3.038875528

4,159,818

13.54836661

4,792,126

14.87737556

30,703,465

100

32,210,829

100

11,523,050

4,742,593

2012 (FCCL)
Rupees'000
966,245
1,070,083
20,321
71,455
1,825,187
-7,523
-9,343
2,970,180
3,936,425
-571,675

2011(FCCL)
Rupees'000
8.38532333
9.286456277
0.176350879
0
0.62010492
15.83944355
-0.065286534
-0.081080964
25.77598813
34.16131146
-4.9611431

488,153

10.29295577

392,137
28,134
36,033
103,858
140
-9,898
550,404
1,038,557
-1,780,878

8.268409286
0.593219785
0
0.759774242
2.18989907
0.002951972
-0.208704394
11.60554996
21.89850573
-37.55072383

2
900
-27,281
27,656
586,815
2,193
512,827
531,437
4,467,862
-21,651
-26,464
-114,248
4,305,499

0
1.73565E-05
0.007810432
0
-0.236751554
0.240005901
5.092531925
0.01903142
4.450444978
4.611947358
38.77325882
-0.187892962
-0.229661418
-0.991473612
37.36423082

15,559
900
-12,446
6,248
-146,507
20,670
240,901
-1,655,553
-616,996
-17,424
-17,534
-84,314
-736,268

0
0.328069476
0.01897696
0
-0.262430278
0.131742277
-3.089175057
0.435837526
5.079520844
-34.90818209
-13.00967635
-0.367393955
-0.369713361
-1.77780383
-15.5245875

-142,147
7,853
9,786
-124,508

-1.233588329
0.068150359
0
0
0.084925432
-1.080512538

-1,402,563
4,809
9,629
-1,388,125

-29.57375849
0.101400226
0
0
0.203032392
-29.26932587

-1,671,082
-3,189,000
-3,289,000
2,325,555
-66,885
-466,375
-1,427,975
-4,495,762
-314,771
483,888
169,117

-14.50208061
0
-27.67496453
-28.54279032
20.18176611
0
0
-0.580445281
-4.04732254
0
44.77814362
-39.01538221
-2.731663926
4.199304872
1.467640946

3,289,000
-

0
69.35024785
0
0
0
18.01997346
-0.000168684
-0.705162766
12.80489386
-0.23695898
-46.88380386
52.34902088
7.555107512
2.647918554
10.20302607

854614
-8
-33,443
607,284
-11,238
-2,223,508
2,482,701
358,308
125,580
483,888

VERTICAL COMMON SIZED ANALYSIS


DGKC
FY10

% of revenue

FY12

% of revenue

Rupees'000
5,788,302

122.0493093

-1,045,709

-22.04930931

4,742,593

100

22,949,853

100

-3,919,540

-82.64550637

-15,443,098

-67.29061838

823,053

17.35449363

7,506,755

32.70938162

28,053

0.591511859

1,187,936

5.176224876

5,723,250

24.93806823

-74,149

-1.563469604

-2,202,901

-9.59875865

-147,938

-3.119348424

-267,705

-1.16647806

-36,944

-0.778983143

-500,835

-2.18230156

-103,922

-2.191248543

-1,670,784

-7.280151206

4,052,466

17.65791702

55,652

0.242493928

4,108,118

17.90041095

488,153
-62,492
425,661

10.29295577
-1.317675795
8.975279979

DGKC
FY10

FY12

% of total assets

Rupees'000

Rupees'000
EQUITY AND LIABILITIES

7,419,887

27.70682329

Capital and reserves

Authorised capital

2,190,798

8.180724727

9,610,685

35.88754802

- 950,000,000 (2011: 950,000,000)


ordinary shares of Rs 10 each
- 50,000,000 (2011: 50,000,000)
preference shares of Rs 10 each

9,500,000
500,000
10,000,000

Issued, subscribed and paid up


capital
438,119,118 (2011: 438,119,118)
ordinary shares of Rs 10 each

400,000

1.493652035

11,909,030

44.46986723

72,026

0.268954454

Reserves

788,636

2.944869415

Accumulated profit

4,381,191
623,562,612
4,986,829
32,930,632

1,698,674

6.343069692

Non-current liabilities

349,130

1.303696837

Long term finances

4,629,083

865,727

3.232737238

Long term deposits

68,355

1,071,384

4.000687229

Retirement and other benefits

185,116

3,984,915

14.880191

Deferred taxation

1,666,069

Current liabilities
26,779,999

100

Trade and other payables


Accrued markup

2,108,894
162,931

23,819,040

88.94339391

Short term borrowing-secured

6,733,467

5,400

0.020164302

Current portion of non-current


liabilities

2,165,561

884,841

3.3041114

Provision for taxation

35,090
11,205,943

1,060,533

3.960168184

96,684

0.361030633

Total Equities and Liabilities

24,514

0.091538465

ASSETS

46,981

0.175433166

Non-current assets

50,685,198

601,364

2.245571406

Property, plant and equipment

567

0.002117252

Intangible assets

47,858

0.178707998

Investments

192,217

0.717763283

Long term loans, advances and


deposits

27,185,726
73,808
4,864,945

7.732330386

120,342
32,244,821

2,070,718
Current assets
26,779,999

100

Stores, spares and loose tools

4,137,262

Stock-in-trade

954,645

Trade debts

317,970

Investments

11,126,051

Advances, deposits, prepayments


and other receivables

1,476,008

Cash and bank balances

428,441
18,440,377

Total Assets

4,742,593

2010(FCCL)

50,685,198

22,949,853

2012 (DGKC)
Rupees'000

324,911

6.850914679

327,130
19,435
-1,567
25,407
40,284
-982
-12,544
397,163
722,074
18,312

6.897703429
0.409796919
-0.033040997
0.535719595
0.849408752
-0.020705972
-0.264496658
8.374385067
15.22529975
0.38611789

-1,792,708
-

-7.811413868

124,142
900
-143,739
31,694
-9,622
-373,013
-2,390
206,935
-146,781
575,293
-13,825
-75,874
-106,678
378,916

0
2.617597588
0.01897696
-3.03081036
0.668284207
-0.202884793
-7.865169961
-0.050394373
4.363330355
-3.094952487
12.13034726
-0.291507199
-1.599842112
-2.249360213
7.989637736

6,162,787
-20,205
-335,702
4,011,634

-0.08803978
-1.462763182
17.47999867

-3,006,336
4,324
12,694
-2,989,318

-63.39013278
0.091173752
0
0
0.267659485
-63.03129954

-2,751,451
30,300
12,877
1,058,707
52,735
-1,596,832

-11.98897004
0.132026989
0.056109292
4.613131945
0.229783607
-6.957918205

-325,000
4,244,000
-7
-16,721
379,090
-1,375,549
2,905,813
295,411
-169,831
125,580

-6.852791289
89.48691148
0
0
0
0
-0.000147599
-0.35257084
7.993306615
0
-29.00415448
61.27055389
6.228892085
-3.580973531
2.647918554

-2,132,049

-9.290033361

1,906,382
-

8.306728588

-2,538
-

-0.011058894

26.8532744

-225,667
2,189,135
-8,494,161
-6,305,026

-0.983304773
9.538775695
-37.01183184
-27.47305615

% of total assets

18.74314469
0.9864813
19.72962599

8.643925984
1230.265712
9.838827107
64.97090531

9.133007629
0.134861858
0.365226945
3.287091825

4.160768988
0.321456769
13.28487856
4.27257086
0.069231258
22.10890643

100

53.63642064
0.145620424
9.598354533
0.237430265
63.61782586

8.16266319
1.883478881
0.627342918
21.9512825
2.91210858
0.845298069
36.38217414
100

TREND ANALYSIS
NORMAL INCOME STATEMENT

FY10

FY11

Rupees'000

Rupees'000

SALES

4,902,396

5,788,302

Less: Government levies

-1,093,941

-1,045,709

NET SALES

3,808,455

4,742,593

Less: Cost of sales

-3,292,871

-3,919,540

GROSS PROFIT

515,584

823,053

Other income

27,220

28,053

Selling and Distribution cost

-47,737

-74,149

Administrative expenses

-103,490

-147,938

Other operating expenses

-25,460

-36,944

Finance cost

-41,206

-103,922

NET PROFIT BEFORE TAXATION

324,911

488,153

Taxation

-74,732

-62,492

NET PROFIT AFTER TAXATION

250,179

425,661

Profit from operations

NORMAL BALANCE SHEET

FY10

FY11

Rupees'000

Rupees'000

7,419,887

7,419,887

861,871

SHARE CAPITAL AND RESERVES


Share capital
Advance against issue of shares

Reserves

2,190,798

2,732,259

9,610,685

11,014,017

Subordinated loan - unsecured

400,000

3,189,000

Long term financing - secured

11,909,030

11,805,480

Fair value of derivative

72,026

Deferred tax liability - net

788,636

794,918

1,698,674

1,290,968

Markup accrued

349,130

444,297

Short term borrowings - secured

865,727

1,901,333

1,071,384

1,748,142

3,984,915

5,384,740

26,779,999

32,210,829

23,819,040

26,658,079

5,400

4,500

884,841

756,124

1,060,533

2,444,173

Stock in trade

96,684

493,922

Trade debts

24,514

36,960

Advances

46,981

40,733

Trade deposits, short term


prepayments and balances with

601,364

769,467

NON - CURRENT LIABILITIES

CURRENT LIABILITIES
Trade and other payables

Current portion of long term financing

Total Equity and Liabilities


NON - CURRENT ASSETS
Property, plant and equipment
Long term advance
Long term deposits and prepayments
CURRENT ASSETS
Stores, spares and loose tools

Interest accrued

567

836

Other receivables

47,858

27,188

Cash and bank balances

192,217

978,847

2,070,718

4,792,126

26,779,999

32,210,829

Total Assets

NORMAL CASH FLOW STATEMENT

2012 (FCCL)
Rupees'000
Cash flows from operating activities
Net profit before taxation
Adjustments for:
Depreciation
Provision for compensated absences
Reveral of provision of bad debts
Workers' (Profit) Participation Fund
including interest and WWF
Finance cost
(Gain)/ loss on disposal of property,
plant and equipment
Interest income including interest on
long term advance
Operating cash flows before working
capital changes
Increase in stores and stocks
Long term deposits - net
Decrease in long-term deposits and
prepayments
Decrease in long-term advance
Decrease in retention money
Increase in trade debts

2011(FCCL)
Rupees'000

966,245

488,153

1,070,083

392,137

20,321

28,134

71,455

36,033

1,825,187

103,858

-7,523

140

-9,343

-9,898

2,970,180

550,404

3,936,425

1,038,557

-571,675
-

-1,780,878
-

15,559

900
-27,281

900
-12,446

Decrease in advances
Decrease /(increase) in trade
deposits, short term prepayments and
balance with statutory authority
Decrease in other receivables
Increase in trade and other payables
Cash generated from/ (used in)
operating activities
Compensated absences paid
Payment to Workers' (Profit)
Participation Fund
Taxes paid
Net cash generated from/ (used in)
operating activities
Cash flows from investing activities
Additions in property, plant and
equipment excluding borrowing cost
capitalized
Proceeds from disposal of property,
plant and equipment
Long term loans, advances and
deposits - net
Dividends Received
Interest received on bank deposits
and long term advance
Net cash used in investing activities
Cash flows from financing activities
Repayment of long term finances
Proceeds from long-term loans
Repayment of sub-ordinated loan
Proceeds from long-term finances
Proceeds from issue of shares - net
of transaction cost
Advance against issue of shares - net
Dividend paid on ordinary shares
Dividend paid on preference shares
(Payment)/proceeds from short term
borrowings
Payment of guarantee premium and
other cost
Finance cost paid
Net cash (used in)/ generated from
financing activities
(Decrease) / increase in cash and
cash equivalents
Cash and cash equivalents at
beginning of the year

27,656

6,248

586,815

-146,507

2,193
512,827
531,437

20,670
240,901
-1,655,553

4,467,862

-616,996

-21,651

-17,424

-26,464

-17,534

-114,248

-84,314

4,305,499

-736,268

-142,147

-1,402,563

7,853

4,809

9,786

9,629

-124,508

-1,388,125

-1,671,082
-3,189,000
-3,289,000

3,289,000
-

2,325,555

854614

-66,885

-8
-33,443

-466,375

607,284

-11,238

-1,427,975

-2,223,508

-4,495,762

2,482,701

-314,771

358,308

483,888

125,580

Cash and cash equivalents at end of the


year

169,117

483,888

HORIZONTAL COMMON SIZE FOR 3 Years

FY12

FY10

Rupees'000

Rupees'000

SALES

Less: Government levies

11,523,050

NET SALES

-8,454,600

Less: Cost of sales

3,068,450

GROSS PROFIT

26,519

Other income

Profit from operations

-101,642

Selling and Distribution cost

-129,180

Administrative expenses

-72,457

Other operating expenses

-1,825,445

Finance cost

966,245

NET PROFIT BEFORE TAXATION

-413,655

Taxation

552,590

NET PROFIT AFTER TAXATION

HORIZONTAL COMMON SIZE FOR THREE YEARS

FY12

FY10

Rupees'000

Rupees'000
SHARE CAPITAL AND RESERVES

13,798,150
-

Share capital
Advance against issue of shares

6,106,955

Reserves

13,905,105
NON - CURRENT LIABILITIES
-

Subordinated loan - unsecured

10,174,513

Long term financing - secured

Fair value of derivative

Deferred tax liability - net

1,104,823

CURRENT LIABILITIES
1,778,447

Trade and other payables

349,377

Markup accrued

985,954

Short term borrowings - secured

Current portion of long term financing

2,380,395

5,494,173

30,703,465

Total Equity and Liabilities

NON - CURRENT ASSETS


25,897,954
3,600
642,093

Property, plant and equipment

Long term advance

Long term deposits and prepayments

CURRENT ASSETS
2,554,433

Stores, spares and loose tools

955,337

Stock in trade

64,241

Trade debts

13,077

Advances

192,024

Trade deposits, short term


prepayments and balances with

393

Interest accrued

165,242

Other receivables

215,071

Cash and bank balances

4,159,818

30,703,465

Total Assets

HORIZONTAL COMMON SIZE FOR THREE YEARS

2010(FCCL)
Rupees'000

324,911
327,130
19,435
-1,567
25,407
40,284
-982
-12,544

2012 (FCCL)
Rupees'000
Cash flows from operating activities
Net profit before taxation
Adjustments for:
Depreciation
Provision for compensated absences
Reveral of provision of bad debts
Workers' (Profit) Participation Fund
including interest and WWF
Finance cost
(Gain)/ loss on disposal of property,
plant and equipment
Interest income including interest on
long term advance

397,163
722,074
18,312
124,142
900
-143,739
31,694

1
1
1
0
1
1
1
1
1

Operating cash flows before working


capital changes
Increase in stores and stocks
Long term deposits - net
Decrease in long-term deposits and
prepayments
Decrease in long-term advance
Decrease in retention money
Increase in trade debts

1
1
0
1
1
0
1

-9,622
-373,013
-2,390
206,935
-146,781
575,293
-13,825
-75,874
-106,678
378,916

-3,006,336
4,324
12,694
-2,989,318
-325,000
4,244,000
-7
-16,721
379,090
-1,375,549
2,905,813
295,411
-169,831

Decrease in advances
Decrease /(increase) in trade
deposits, short term prepayments and
balance with statutory authority
Decrease in other receivables
Increase in trade and other payables
Cash generated from/ (used in)
operating activities
Compensated absences paid
Payment to Workers' (Profit)
Participation Fund
Taxes paid
Net cash generated from/ (used in)
operating activities
Cash flows from investing activities
Additions in property, plant and
equipment excluding borrowing cost
capitalized
Proceeds from disposal of property,
plant and equipment
Long term loans, advances and
deposits - net
Dividends Received
Interest received on bank deposits
and long term advance
Net cash used in investing activities
Cash flows from financing activities
Repayment of long term finances
Proceeds from long-term loans
Repayment of sub-ordinated loan
Proceeds from long-term finances
Proceeds from issue of shares - net of
transaction cost
Advance against issue of shares - net
Dividend paid on ordinary shares
Dividend paid on preference shares
(Payment)/proceeds from short term
borrowings
Payment of guarantee premium and
other cost
Finance cost paid
Net cash (used in)/ generated from
financing activities
(Decrease) / increase in cash and
cash equivalents
Cash and cash equivalents at
beginning of the year

1
1
1
1
1
1
1
1
1
1

1
1
0
0
1
1
1
0
1
1
1
0
0
1
1
0
1
1
1
1

125,580

Cash and cash equivalents at end of the


year

MMON SIZE FOR 3 Years

FY11

FY12

Rupees'000

Rupees'000

1.18070878

0.955909871

1.245280041

3.025649509

1.190310826

2.567546679

1.596350934

5.95140656

1.030602498

0.974246877

1.553281522

2.129207952

1.429490772

1.248236545

1.451060487

2.845915161

2.522011358

44.30046595

1.502420663

2.973875923

0.836214741

5.53517904

1.701425779

2.208778515

ON SIZE FOR THREE YEARS

FY11

FY12

Rupees'000

Rupees'000

1.859617269

1.247152407

2.78754819

1.146017896

1.446838077
#DIV/0!

7.9725
0.991304917

0.854352789

#VALUE!
1.007965652

1.400928946

0.75998573

1.046961924

1.272583278

1.000707473

2.196226986

1.138874033

1.631667077

2.221794427

1.351281019

1.378742834

1.202794257

1.146507324

1.119191999

1.087279504

0.833333333

0.666666667

0.854530927

0.725659186

2.30466473

2.40863132

5.108621902

9.881024782

1.50770988

2.620584156

0.867010068

0.278346566

1.279536188

0.319314093

1.474426808

0.693121693

0.568097288

3.45275607

5.092405979

1.118896872

2.314234

2.008877114

1.202794257

1.146507324

ON SIZE FOR THREE YEARS

2011(FCCL)
Rupees'000

2010(FCCL)
Rupees'000

0.505206237

0.336261507

0.366454752

0.305705258

1.38447911

0.956399783

0.504275418

0.056902663

0.022071163

-0.018609597

0.130533032

1.059402761

1.34260944

0.185309981

0.133716812

0.263832538

0.183433953

3.115193073
0

-0.032032186
0

7779.5

62071

1
0
0.456214948

1
0
-1.161760933

0.225918426

-0.347917269

-0.249664715

-0.635656894

9.425444596
0.469751008
-3.115238495

-1.089831281
0.403518145
-0.276196426

-0.138096477

0.128762482

0.804766523

0.638538636

0.662560459

2.867064692

0.737991037

0.933740634

-0.171006427

0.088007453

9.866989806

21.1494861

0.612377435

0.550617598

0.983956673

1.297159207

11.148882

24.0090436

0
0
0
0

0.194484771
0
0
0

0
0.500007476

0
0.249996262

-1.302136693

-0.812843742

1.557105692

0.963286472

-0.552231413

-0.646344936

-1.13831325

-0.938494969

0.259522865

-0.350971712

2.86126173

0.742562841

CALCULATIONS
Note: All the vales used are rounded off to thousad , '000

Net Sales Growth

Sales Growth (Domestic)

Sales Growth (export)

Gross Profit Margin

PBT
Profit Before Tax Margin

Interest Cover (Times)

EPS
Earnings per Share

P/E Ratio
Price/ Earnings Ratio

NP Margin
Net Profit Margin

Tax Burden

Cash flow to revenue

Average Total Assets

Cash return on assets

Average Share holders Equity

Cash return on equity

cash flow per share

Cash to Income

Debt Payment

ROCE

(Return on capital employed)

Asset Turnover (Times)

Current ratio

Quick Ratio

Inventory Turnover

Days of Inventory on hand (DOH)

Average Recievables

Receivables Turnover

Days of Sales Outstanding (DSO)

Average Payables

Trade Payables Turnover

Average Total Assets

CAR

Average Total Equity

EPS

Interest Coverage

Debt Coverage

CULATIONS
Formula
Current Year(C.Y) Sales - Previous Year(P.Y) Sales
P.Y Sales

x100

FY10
P.Y Sales
5314538

C.Y Domestic dispatches - P.Y Domestic dispatches


P.Y Domestic dispatches

x100

FY10
P.Y Sales(Domestic)
891250

Current Year Export Sales - Previous Year Export Sales


Previous Year Export Sales

gross profit(gp) x100


sales

x100

FY10
P.Y Sales(Export)
275340

FY10
G.P
515584

Profit Before tax(PBT) x100


sales

FY10
PBT
324911

Profit Before Interest and Tax (PBIT)


Finance Cost

FY10
PBIT
366117

Profit After Tax - Preferential Dividend


Total Number of Ordinary Shares

FY10
Profit After Tax
250179

Share Price
EPS

FY10
Share Price
6.67

Net Profit x100


sales

FY10
Net Profit
250179

Net Profit
PBT

FY10
Net Profit
250179

Operating Cash Flow (OCF)


Sales

FY10
OCF
378916

Total assets (C.Y) + Total Assets (P.Y)


2

FY10
T.A (C.Y)
26779999

OCF
Average Total Assets

FY10
Ocf
378916

Share holders Equity (C.Y) + Shareholders Equity (P.Y)


2

FY10
Share holders Equity (C.Y)
9610685

OCF
Average Shareholders equity

FY10
OCF
378916

OCF - Preferential Dividend


Total Number of Ordinary Shares

FY10
OCF
378916

OCF
Operating Income

FY10
OCF
378916

OCF
Cash paid for Long Term debt Repayment

FY10
OCF
378916

Profit before interest and Tax(PBIT)

x100

FY10
PBIT

Capital Employed

366117

Sales
Total Assets

FY10
Sales
3808455

Current assets (C.A)


Current Liabilities (C.L)

FY10
C.A
2070718

C.A - Inventory
C.L

FY10
C.A
2070718

Sales
Inventory

FY10
sales
3808455

number of days in period


inventory turnover

FY10
Days
365

Recievables (C.Y) + Recievables (P.Y)


2

FY10
Recievables (C.Y)
24514

Sales
Average Receivables

FY10
Sales
3808455

number of days in period


Receivables turnover

FY10
days
365

Trade Payables (C.Y) + Trade Payable (P.Y)


2

FY10
Trade payablea (C.Y)
1698674

FY10

Cost of Sales
Average Trade Payables

Cost of sales
3292871

equity
TA

FY8
equity
6,463,644

TA
TE

FY8
TA
366,680,192

cash assets and govt sec


TA

FY8
cash assets and govt sec
69990246

TL
TE

FY8
TL
344,340,055

Total Assets (C.Y) + Total Assets (P.Y)


2

FY10
Total Assets (C.Y)
26779999

TA
lending+inv+adv

FY8
TA
366,680,192

Total Equity (C.Y) + Total Equity (P.Y)


2

FY10
Total Equity (C.Y)
9,610,685

Net Income
No. of shares

FY8
Net Income
4,156,686

Cfo+Interest Paid+taxes paid


Interest Paid

FY10
OCF
378916

OCF
Total Debt

FY10
OCF
378916

FCCL
RATIO
C.Y Sales
3808455

-28.33892617

FY11
P.Y Sales
3808455

-11.73677419

FY11
P.Y Sales(Domestic)
786646

20.91632164

FY11
P.Y Sales(Export)
332931

RATIO
C.Y Sales(domestic)
786646

RATIO
C.Y Sales(Export)
332931

RATIO
Sales
3808455

13.53787822

RATIO
Sales
3808455

8.531307315

RATIO
Finance Cost
41206

8.885041013

FY11
G.P
823053

FY11
PBT
488153

FY11
PBIT
592075

RATIO
Preferential Dividend
33442

Ordinary Shares
693289

RATIO
EPS
0.313

21.30990415

RATIO
Sales
3808455

6.569041777

0.312621432

FY11
Share Price
4.72

FY11
Net Profit
425661

RATIO
PBT
324911

0.769992398

RATIO
Sales
3808455

0.099493364

RATIO
T.A (P.Y)
21446501

24113250

RATIO
Average T.A
24113250

0.015714016

FY11
Net Profit
425661

FY11
OCF
-736268

FY11
T.A (C.Y)
32210829

FY11
Ocf
-736268

RATIO
Share holders Equity (P.Y)
9610689

FY11
Share holders Equity (C.Y)
9610687
11014017

RATIO
Avg. Share holders Equity
324911

1.166214748

FY11
OCF
-736268

RATIO
Preferential Dividend
33442

Ordinary Shares
693289

RATIO
Operating Income
366117

1.03495877

RATIO
Cash for L.T.D
325000

1.165895385

RATIO
Capital Employed

0.498311671

FY11
OCF
-736268

FY11
OCF
-736268

FY11
PBIT

22795084

1.606122618

RATIO
Total Assets
26779999

0.142212664

RATIO
C.L
3984915

0.519639189

592075

FY11
Sales
4742593

FY11
C.A
4792126

RATIO
Inventory
96684

C.L
3984915

RATIO
Inventory
96684

39.39074718

RATIO
inventory turnover
39.391

9.266076007

RATIO
Recievables (P.Y)
54641

39577.5

RATIO
Average Receivables
39577.5

FY11
Recievables (C.Y)
36960

2.349412325

FY11
days
365

1570249.5

RATIO

FY11
Days
365

96.22778094

RATIO
Trade Payables (P.Y)
1441825

FY11
sales
4742593

FY11
Sales
4742593

RATIO
Receivables turnover
155.358

0.495376689

FY11
Trade payablea (C.Y)
1290968

FY11

Avg. Trade Payables


1570249.5

2.097036808

RATIO
TA
366,680,192

0.01762747

RATIO
TE
20,805,117

17.62451958

Cost of sales
3919540

FY9
equity
7,110,008

FY9
TA
418,374,331

RATIO
TA
366,680,192

0.190875448

RATIO
TE
20,805,117

16.5507387

RATIO
Total Assets (P.Y)
21446501

24113250

RATIO
lending/inv/adv
311,396,309

1.177535447

RATIO
Total Equity (P.Y)
96690689

53150687

RATIO
No. of shares
646,364,325

0.643087163

FY9
TL
388,414,353

FY11
Total Assets (C.Y)
32,210,829

FY9
TA
418,374,331

FY11
Total Equity (C.Y)
11,014,017

FY9
Net Income
7,122,167

RATIO
Interest Paid
41,206

Taxes Paid
74,732

12.00927049

RATIO
Total Debt
13845541
325000

2.736736687

FY11
OCF
-736268

FCCL
RATIO
C.Y Sales
4742593

24.52800414

RATIO
C.Y Sales(Domestic)
629385

-19.99133028

FY12
P.Y Sales(Domestic)
629385

36.71691732

FY12
P.Y Sales(Export)
455173

RATIO
C.Y Sales(Export)
455173

RATIO
Sales
4742593

17.35449363

FY12
G.P
3068450

10.29295577

FY12
PBT
966245

RATIO
Sales
4742593

RATIO
Finance Cost
103922

FY11
Profit After Tax
425661

5.697301823

FY12
PBIT
2791690

Preferential Dividend
66885

Ordinary Shares
693289

RATIO
9.12959381

FY12
Share Price
4.53

8.975279979

FY12
Net Profit
552590

EPS
0.517

RATIO
Sales
4742593

FY12
P.Y Sales
4742593

RATIO
PBT
488153

0.87198276

RATIO
Sales
4742593

-0.155245875

RATIO
T.A (P.Y)
26779999

29495414

RATIO
Average T.A
29495414

-0.024962118

FY12
Net Profit
552590

FY12
OCF
4305499

FY12
T.A (C.Y)
30703465

FY12
Ocf
4305499

RATIO

FY12
Share holders Equity (C.Y)
10312351
13905105

Share holders Equity (P.Y)


9610685

RATIO
Avg. Share holders Equity
488153

FY11
OCF
-736268

-1.508273021

Preferential Dividend
66885

Ordinary Shares
693289

RATIO

FY12
OCF
4305499

Operating Income
592075

-1.243538403

RATIO
Cash for L.T.D
12623072

-0.058327165

RATIO
Capital Employed

FY12
OCF
4305499

FY12
OCF
4305499

FY12
PBIT

26826089

2.207086542

RATIO

2791690

0.147235981

FY12
Sales
11523050

C.L
5384740

0.889945661

FY12
C.A
4159818

FY11
C.A
4792126

Inventory
493922

C.L
5384740

Total Assets
32210829

RATIO

RATIO
Inventory
493922

9.601906779

RATIO
inventory turnover
9.602

38.01291398

RATIO
Recievables (P.Y)
24514

30737

RATIO
Average Receivables
30737

2.365583035

FY12
days
365

1494821

RATIO

FY12
Recievables (C.Y)
64241

154.2958975

RATIO
Trade Payables (P.Y)
1698674

FY12
Days
365

FY12
Sales
11523050

RATIO
Receivables turnover
154.296

FY12
sales
11523050

FY12
Trade payablea (C.Y)
1778447

FY12

Avg. Trade Payables


1494821

2.622079834

RATIO
TA
418,374,331

0.01699437

RATIO
TE
25,891,278

16.15889069

15.00174511

FY10
TL
413,956,669

RATIO
Total Assets (P.Y)
26779999

29495414

RATIO
lending/inv/adv
270,784,984

1.545042583

RATIO
Total Equity (P.Y)
9,610,685

10312351

RATIO
No. of shares
711,000,758

FY11
OCF
-736268

FY10
equity
7,821,009

FY10
TA
449,931,526

RATIO
TE
25,891,278

Cost of sales
8354600

FY12
Total Assets (C.Y)
30,703,465

FY10
TA
449,931,526

FY12
Total Equity (C.Y)
13,905,105

1.001710184

FY10
Net Income
8,225,332

Interest Paid
103,922

Taxes Paid
62,492

RATIO
Total Debt
15455455
12623072

-4.763806695

FY12
OCF
4305499

DGKC
RATIO
C.Y Sales
11523050

142.9694051

RATIO
C.Y Sales(Domestic)
1616815

156.8880733

RATIO
C.Y Sales(Export)
515821

13.32416466

RATIO
Sales
11523050

26.62880053

RATIO
Sales
11523050

8.38532333

RATIO
Finance Cost
1825445

RATIO
0.517498475

1.529320248

FY12
Profit After Tax
552590

RATIO
EPS
0.291

15.56701031

RATIO
Sales
11523050

4.795518548

FY12 (DGKC)
P.Y Sales
18577198

FY12 (DGKC)
P.Y Sales(Domestic)
2860795

FY12 (DGKC)
P.Y Sales(Export)
1304840

FY12 (DGKC)
G.P
7506755

FY12 (DGKC)
PBT
4052466

FY12 (DGKC)
PBIT
5723250

Preferential Dividend
175573

FY12 (DGKC)
Share Price
28.55

FY12 (DGKC)
Net Profit
4108118

RATIO
PBT
966245

0.571894292

RATIO
Sales
11523050

0.373642308

RATIO
T.A (P.Y)
32210829

31457147

RATIO
Average T.A
31457147

0.136868706

RATIO
Share holders Equity (P.Y)
11014017

12459561

RATIO
Avg. Share holders Equity
966245

4.455908181

RATIO

FY12
OCF
4305499

-1.158467825

RATIO
Operating Income
2791690

1.542255408

RATIO
Cash for L.T.D
1,671,082

2.576473806

RATIO
Capital Employed

FY12 (DGKC)
Net Profit
4108118

FY12 (DGKC)
OCF
4011634

FY12 (DGKC)
T.A (C.Y)
50685198

FY12 (DGKC)
Ocf
4011634

FY12 (DGKC)
Share holders Equity (C.Y)
32930632

FY12 (DGKC)
OCF
4011634

Preferential Dividend
175573

FY12 (DGKC)
OCF
4011634

FY12 (DGKC)
OCF
4011634

FY12 (DGKC)
PBIT

25209292

11.07405158

RATIO
Total Assets
30703465

0.375301289

FY12 (DGKC)
Sales
22949853

0.757132693

FY12 (DGKC)
C.A
18440377

RATIO
C.L
5494173

RATIO

FY12
C.A
4159818

0.798219413

RATIO
Inventory
955337

12.06176459

RATIO
inventory turnover
12.062

5723250

Inventory
955337

FY12 (DGKC)
sales
22949853

FY12 (DGKC)
Days

30.26032167

RATIO
50600.5

FY12 (DGKC)
Recievables (C.Y)
317970

227.7260106

FY12 (DGKC)
Sales
22949853

Recievables (P.Y)
36960

RATIO
Average Receivables
50600.5

RATIO
Receivables turnover
227.726

365

FY12 (DGKC)
days
1.602803369

RATIO
Trade Payables (P.Y)
1290968

1534707.5

RATIO

365

FY12 (DGKC)
Trade payablea (C.Y)
2108894

FY12 (DGKC)

Avg. Trade Payables


1534707.5

5.443773488

RATIO
TA
449,931,526

0.017382665

RATIO
TE
31,166,452

13.28212364

FY11
TL
472,359,135

31457147

RATIO
lending/inv/adv
449,401,297

1.001179856

RATIO
Total Equity (P.Y)
11,014,017

12459561

RATIO
No. of shares
782,100,834

RATIO
-5.483477993

8,603,110

14.43640508

RATIO
Total Assets (P.Y)
32,210,829

FY11
equity

FY11
TA
515,698,939

RATIO
TE
31,166,452

Cost of sales
15443098

1.051697127

FY12
OCF
4305499

FY12 (DGKC)
Total Assets (C.Y)
50,685,198

FY11
TA
515,698,939

FY12 (DGKC)
Total Equity (C.Y)
32930632

FY11
Net Income
10,139,681

Interest Paid
1,825,445

RATIO
Total Debt
13540862
1,671,082

31.79634354

FY12 (DGKC)
OCF
4011634

DGKC
RATIO
C.Y Sales
22949853

23.53775311

RATIO
C.Y Sales(Domestic)
2765534

-3.329878583

RATIO
C.Y Sales(Export)
1253422

-3.940559762

RATIO
Sales
22949853

32.70938162

RATIO
Sales
22949853

17.65791702

RATIO
Finance Cost
1670784

3.425487675

RATIO
Ordinary Shares
1294518

0.291241219

RATIO
EPS
9.325

3.061662198

RATIO
Sales
22949853

17.90041095

FY12 (DGKC)
Profit After Tax
4085831

RATIO
PBT
4052466

1.013732873

RATIO
Sales
22949853

0.174799987

RATIO
T.A (P.Y)
49703229

50194213.5

RATIO
Average T.A
50194213.5

0.07992224

RATIO
Share holders Equity (P.Y)
30217283

31573957.5

RATIO
Avg. Share holders Equity
31573957.5

0.127055153

RATIO
Ordinary Shares
1294518

3.190319486

RATIO
Operating Income
5723250

0.700936356

RATIO
Cash for L.T.D
2132049

1.881586211

RATIO
Capital Employed

FY12 (DGKC)
OCF
4011634

39479255

14.49685411

RATIO
Total Assets
50685198

0.452792016

RATIO
C.L
11205943

1.645589041

RATIO
C.L
5494173

0.583250837

RATIO
Inventory
954645

24.04019609

RATIO
inventory turnover
24.04

15.18302829

RATIO
Recievables (P.Y)
459300

388635

RATIO
Average Receivables
388635

59.05246053

RATIO
Receivables turnover
59.0524

6.180951155

RATIO
Trade Payables (P.Y)
1674226

1891560

RATIO

FY12 (DGKC)
C.A
18440377

Avg. Trade Payables


1891560

8.164212608

RATIO
TA
515,698,939

0.016682427

RATIO
TE
37,620,358

13.70797532

FY12
equity
9,463,421

FY12
TA
631,915,482

FY12
cash assets and govt sec
277225413

RATIO
TE
37,620,358

12.55594471

FY12
TL
580,999,622

RATIO
Total Assets (P.Y)
49,703,229

50194213.5

RATIO
lending/inv/adv
377,095,827

1.367554086

FY12
TA
631,915,482

RATIO
Total Equity (P.Y)
30,217,283

31573957.5

RATIO
No. of shares
860,310,917

1.178606571

RATIO
Taxes Paid
413,655

3.585207443

FY12
Net Income
11,675,814

FY12 (DGKC)
OCF
4011634

RATIO
Total Debt
14,445,199
21,320,49

27.77140003

RATIO
Preferential Dividend
0

Ordinary Shares
438119

9.325847544

RATIO
Preferential Dividend
0

Ordinary Shares
438119

9.156494012

RATIO
Inventory
954645

C.L
11205943

1.560398085

RATIO
TA
631,915,482

0.01497577

RATIO
TE
42,928,082

14.7203288

RATIO
TA
631,915,482

0.438706474

RATIO
TE
42,928,082

13.53425532

RATIO
lending/inv/adv
549,208,556

1.150592931

RATIO
No. of shares
946,342,009

1.233783758

RATIO
Interest Paid
1,782,871

Taxes Paid
123,753

3.319509937

RATIOS

RATIOS
PROFITABILITY RATIOS

Earning Base

Earning Assets
TA

net operating margin

EBT
TA

net non int income margin

net non int income


TA

net int margin

net interest income


total assets

ROA

Net Income
Total Assets

ROE

Net Income
Total Equity

Asset Utilization

operating revenue
TA

Net Profit Margin

net profit
sales

Equity Multiplier
TA
TE

Yield on earning assets

interest income
earning assets

Cost of borrowing on int. bearing liabilities

interest expense
interest bearing liabilites

Spread

YEA- CBIBL

Allied Bank
LIQUIDITY RATIOS
FY8

FY12

0.849

0.869

cash position indicator

cash and deposits


TA

0.025

govt securities
TA

-0.003

cash assets and govt sec


TA

0.028

0.028

net loans
total assets

1.134

1.848

0.017

-0.011

SOLVENCY AND CAPITAL ADEQ


equity capital
TA

19.979

27.199

TA
Equity
0.095

0.100
Total Liabiities

Total Equity
0.120

0.184

CAR

16.402

TE
lending+inv+adv

12.411

MARET MEASURE/RISK RAT


0.098

0.090
EPS

0.104

0.075
Vaue of stock

-0.006

0.015

Net Income
No. of shares

CREDIT R

Y RATIOS
FY08

FY12

0.070

0.070

0.121

0.369

0.191

0.439

0.581

0.429

APITAL ADEQUACY
0.018

0.015

17.625

14.720
NPL trends

16.551

13.534

0.066

0.038

EXPENSE CONTROL MEA

RE/RISK RATIOS
0.643

1.232

31.3

73.5

CREDIT RISK RATIOS


FY 08

FY 12

NPL
Gross loans and leases

0.062

Charge off
Gross loans and leases

0.000 -

0.072

ALL
Gross Loans

0.048

0.061

ALL
Equity Capital

0.477

0.349

PLL
Gross Loans and leases

0.006

0.004

Gross Loans
Total Deposits

0.752

0.561

13771895.000

20667561.000

0.501

NPL trend
TA

0.038

0.033

ONTROL MEASURES RATIOS


FY08

FY12

Interest Expense
TA

0.045

0.049

Int Expense
Int bearing liabilites

0.104

0.075

0.022

0.023

0.001

0.000

Administravtibe Expense
Total Assets

Other Op. expense


TA

Profitabiity

Earning Assets
TA

FY8
earning assets
311,396,309

net operating margin

EBT
TA

FY8
EBT
6,120,940

net non int income margin

net non int income


TA

FY8
net non int income
-4020875

net int margin

net interest income


total assets

FY8
net int income
10,141,815

ROA

Net Income
Total Assets

FY8
Net Income
4,156,686

ROE

Net Income
Total Equity

FY8
Net Income
4,156,686

cash and deposits


TA

FY8
cash and deposits
25,750,533

govt securities
TA

FY8
govt securities
44,239,713

Earning Base

liquidity

cash assets and govt sec


TA

FY8
cash assets and govt sec

net loans
total assets

FY8
net loans
212,972,008

equity
TA

FY8
equity
6,463,644

TA
TE

FY8
TA
366,680,192

TL
TE

FY8
TL
344,340,055

CAR

TA
lending+inv+adv

FY8
TA
20,805,117

EPS

Net Income
No. of shares

FY8
Net Income
4,156,686

Solvency and capital adequacy

RATIO
TA
366,680,192

0.8492313

RATIO
TA
366,680,192

0.0166929

RATIO
TA
366,680,192

-0.010966

RATIO
T.A
366,680,192

0.0276585

RATIO
Avg. T.A
366,680,192

1.1335998

RATIO
Avg T.E
20,805,117

19.979152

RATIO
TA
366,680,192

0.0702261

RATIO
TA
366,680,192

0.1206493

RATIO
TA
366,680,192

FY12
earning assets
549,208,556

RATIO
TA
631,915,482

FY12
EBT
15,870,352

TA
631,915,482

FY12
net non int income
-1840035

TA
631,915,482

RATIO

T.A
631,915,482

FY12
Net Income
11,675,814

Avg. T.A
631,915,482

FY12
Net Income
11,675,814

Avg T.E
42,928,082

FY12
govt securities
232,844,474

0.025115

RATIO

FY12
net int income
17,710,387

FY12
cash and deposits
44,380,939

0.869117

-0.00291

RATIO
0.028027

RATIO
1.847686

RATIO
27.19855

RATIO
TA
631,915,482

0.070232

RATIO
TA
631,915,482

FY12
cash assets and govt sec
TA
0
631,915,482

0.368474

RATIO
0

RATIO
T.A
366,680,192

0.5808113

RATIO
TA
366,680,192

0.0176275

RATIO
TE
20,805,117

17.62452

RATIO
TE
20,805,117

16.550739

RATIO
lending/inv/adv
311,396,309

0.0668123

RATIO
No. of shares
646,364,325

0.6430872

FY12
net loans
271,084,275

FY12
equity
9,463,421

FY12
TA
631,915,482

FY12
TL
580,999,622

FY12
TA
20,805,117

FY12
Net Income
11,675,814

RATIO
T.A
631,915,482

0.428988

RATIO
TA
631,915,482

0.014976

RATIO
TE
42,928,082

14.72033

RATIO
TE
42,928,082

13.53426

RATIO
lending/inv/adv
549,208,556 0.037882

RATIO
No. of shares
946,342,009

1.233784

RATIOS

RATIOS

FCCL
FY 10

FY 11

Sales Growth

-28.339

24.528

Sales Growth (Domestic)

-11.737

-19.991

Sales Growth (Export)

20.916

36.717

Gross Profit Margin

13.538

17.354

PBIT
Profit Before Tax Margin

8.531

10.293

Interest Cover (Times)

8.885

5.697

EPS
Earnings per Share

0.313

0.517

P/E Ratio
Price/ Earnings Ratio

21.310

9.130

NP Margin
Net Profit Margin

6.569

8.975

Tax Burden

0.770

0.872

Cash flow to revenue

Average Total Assets

0.099

Cash return on assets

Average Share holders Equity

Cash return on equity

cash flow per share

Cash to Income

Debt Payment

ROCE
(Return on capital employed)

Asset Turnover (Times)

Current ratio

Quick Ratio

Inventory Turnover

Days of Inventory on hand (DOH)

Average Recievables

Receivables Turnover

Receivables Turnover

Days of Sales Outstanding (DSO)

Average Payables

Trade Payables Turnover

number of days of payables

Long term debt to equity

financial leverage

fixed assets turnover

Average Total Assets

ROA

Average Total Equity

ROE

Interest Coverage

Debt Coverage

44,239,713
25,750,533
69,990,246

44,380,939
232,844,474
277,225,413

CCL

DGKC
FY12

FY 12

142.969

23.538

156.888

-3.330

13.324

-3.941

26.629

32.709

8.385

17.658

1.529

3.425

0.291

9.326

15.567

3.062

4.796

17.900

0.572

1.013

RATIOS

RATIOS

FCCL
FY 8

PROFITABILITY RATIOS
Earning Assets
TA

0.849

EBT
TA

0.017

net non int income


TA

-0.011

net int margin

net interest income


total assets

0.028

ROA

Net Income
Total Assets

1.134

ROE

Net Income
Total Equity

19.979

Earning Base

Earning Assets
TA

0.849

Earning Base

net operating margin

net non int income margin

EBT
TA

0.017

net non int income


TA

-0.011

net int margin

net interest income


total assets

0.028

ROA

Net Income
Total Assets

1.134

ROE

Net Income
Total Equity

19.979

net operating margin

net non int income margin

LIQUIDITY RATIOS
cash and deposits
TA

0.070

govt securities
TA

0.121

cash assets and govt sec


TA

net loans
total assets

0.581

CREDIT RISK RATIOS


Earning Assets
TA

EBT
TA

net non int income


TA

net interest income


total assets

Net Income
Total Assets

Net Income
Total Equity

Earning Assets
TA

EBT
TA

SOLVENCY AND CAPITAL ADEQUA


net non int income
TA

net interest income


total assets

Net Income
Total Assets

Net Income
Total Equity

MARET MEASURE/RISK RAT


Net Income
Total Assets

Net Income
Total Equity

EXPENSE CONTROL MEASURES


net non int income
TA

net interest income

total assets

Net Income
Total Assets

Net Income
Total Equity

FY 9

FY10

FY 11

FY 12

0.647

0.999

0.731

0.869

0.015

0.027

0.029

0.025

-0.009

-0.013

-0.014

-0.003

0.034

0.041

0.043

0.028

1.702

1.828

1.966

1.848

27.508

26.391

26.952

27.199

0.647

0.999

0.731

0.869

0.015

0.027

0.029

0.025

-0.009

-0.013

-0.014

-0.003

0.034

0.041

0.043

0.028

1.702

1.828

1.966

1.848

27.508

26.391

26.952

27.199

0.066

0.071

0.074

0.070

0.100

0.150

0.029

0.369

0.509

0.561

0.474

0.429

TAL ADEQUACY RATIOS

URE/RISK RATIOS

L MEASURES RATIOS

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