FINANCIAL

ANNOUNCEMENT

 
 

GENERAL ANNOUNCEMENT


INTERIM FINANCIAL REPORTS :

3rd. Qtr (FY '08) - 31 Mar 2008

2nd. Qtr (FY '08) - 31 Dec 2007

1st. Qtr (FY '08) - 30 Sept 2007

4th. Qtr (FY '07) - 30 Jun 2007

3rd. Qtr (FY '07) - 31 Mar 2007

2nd. Qtr (FY '07) - 31 Dec 2006

1st. Qtr (FY '07) - 30 Sept 2006

4th. Qtr (FY '06) - 30 Jun 2006

3rd. Qtr (FY '06) - 31 Mar 2006

2nd. Qtr (FY '06) - 31 Dec 2005

1st. Qtr (FY '06) - 30 Sept 2005

4th. Qtr (FY '05) - 30 Jun 2005

3rd. Qtr (FY '05) - 31 Mar 2005

2nd. Qtr (FY '05) - 31 Dec 2004

1st. Qtr (FY '05) - 30 Sep 2004

 4th. Qtr (FY '04) - 30 Jun 2004

3rd. Qtr (FY '04) - 31 Mac 2004

 2nd. Qtr (FY '04) - 31 Dec 2003

1st. Qtr (FY '04) - 30 Sep 2003


 




PLENITUDE BHD
(Company No : 531086-T)
(Incorporated in Malaysia)

 Condensed Consolidated Balance Sheet As At
31st March 2006
(RM'000)

(UNAUDITED)
AS AT
END OF CURRENT QUARTER 31/03/2006 RM'000
(AUDITED)
AS AT PRECEDING FINANCIAL YEAR END 30/06/2005 RM'000

Goodwill arising on consolidation

2,593

2,593
Property, Plant and Equipment 2,611 2,855
Land Held for Future Development 100,138 68,470
Property Development Project - non current portion 186,360 184,622
Investment Properties 54,001 53,975
Other Investments 35 30
Current Assets    
      Property Development Project - current portion 109,776 120,233
      Inventories 2,016 1,563
      Trade Receivables 48,323 51,105
      Other Receivables and Prepaid Expenses 2,579 10,723
      Fixed deposits with licensed banks 53,185 45,348
      Cash and bank balances 63,610 54,693
279,489 283,665
Current Liabilities    
      Trade payables 17,560 29,815
      Retention monies 12,513 13,744
      Advance billings 14,575 29,938
      Other payables and accrued expenses 85,695 78,995
      Term Loan - current portion 5,000 -
      Bank Overdraft 15,875 6,774
      Tax Liabilities 2,198 5,610
153,416 164,876
Net Current Assets 126,073 118,789
471,811 431,334

Shareholders' Funds
Share Capital 135,000 135,000
Reserves
      Share Premium 17,590 17,590
      Capital Reserve on Consolidation 156,052 156,052
      Retained Profit 151,824 119,117
Shareholders' Equity 460,466 427,759
Term Loan - non current portion 11,000 3,230
Deferred Taxation 345 345
471,811 431,334

Net Tangible Assets Per Share (RM)

3.41

3.17


(The Condensed Consolidated Balance Sheet should be read in conjunction with the Audited Accounts for the year ended 30 June 2005)