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Colombo Land & Development Company PLC (CLND.N0000 )

Fin .Statement - LAND AND PROPERTY - Colombo Stock Exchange

27.20 -0.20    -0.73%
Pre Close
High Low High 52 Week Low
Volume   138,636 27.40 27.80 27.00
33.50 16.00
Open   27.50
Open: 27.50
Open: 27.50
Close Last Update:  18 June 02:29 PM

Fin .Statement Latest financial statements in thousands with Sri Lankan Rupee where financial year starts on First Quarter

2007
2008
2009
2010
2011
Income Statement
Profit / (loss) for the Period (17,678) 5,076 (2,341) 485,432 304,231
Profit Attributable to Equity Holders -- 5,076 (2,341) 485,432 304,231
Cash Flow
Net Cash Generated from Operating Actvities -- -- 25,536 (19,480) (9,252)
Net Cash Flow from Investing Activities -- -- (24,249) 37,029 (48,962)
Net Cash Flow Financing Activities -- -- (1,351) (383) 111,393
Increase (decrease) in Cash -- -- (64) 17,166 53,179
Cash at the end of the period -- -- 57,387 74,553 127,732
No data available
2007
2008
2009
2010
2011
Revenue 174,098 92,403 90,408 88,863 94,752
Costs of Sales -- -- -- 62,099 --
Gross Profit -- -- -- -- --
Other Operating Income -- -- 59,639 -- 96,268
Distribution expenses -- -- (3,877) (2,941) (3,205)
Administrative expenses -- -- (67,266) (75,996) (125)
Operating Profit/ (loss) (1,460) 8,468 (11,504) (16,838) (32,088)
Net Finance costs (16,218) -- 13,975 7,787 --
Profit / (loss) Before Tax -- -- 166 491,363 306,309
Profit / (loss) for the Period (17,678) 5,076 (2,341) 485,432 304,231
Profit Attributable to Equity Holders -- 5,076 (2,341) 485,432 304,231
Earnings Per Share(TTM) -- -- -- -- 2
2007
2008
2009
2010
2011
Cash Generated from Operating Activities -- -- 38,346 (14,280) 2,865
Interest paid -- -- (978) (1,162) (1,441)
Net Cash Generated from Operating Actvities -- -- 25,536 (19,480) (9,252)
Purchase of Property, Plant & Equipment -- -- (36,992) (2,656) (13,500)
Proceeds on Sale of Property, Plant & Equipment -- -- 67 37,473 458
(Acquisition)/ Disposal of Other Investments -- -- (1,201) (6,315) (61,028)
Net Cash Flow from Investing Activities -- -- (24,249) 37,029 (48,962)
Proceeds from Loans -- -- -- -- --
Net Cash Flow Financing Activities -- -- (1,351) (383) 111,393
Increase (decrease) in Cash -- -- (64) 17,166 53,179
Cash at the begning of the period -- -- 57,451 57,387 74,553
Cash at the end of the period -- -- 57,387 74,553 127,732

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