BBR Holding(s) Limited - Annual Report 2015 - page 6

04
B
B
R
H
O
L
DINGS (S) LTD
ANNUAL REPORT 2015
KEY
FINANCIAL HIGHLIGHTS
FY2011 FY2012 FY2013 FY2014
FY2015
R
e
v
e
n
u
e
($’000)
413,323 274,235 426,251 671,572
425,508
G
r
o
s
s
P
r
o
fi
t
($’000)
41,674 35,406 43,588 28,655
25,207
P
r
o
fi
t
B
e
f
o
r
e
Ta
x
a
ti
on
($’000)
23,060 14,536 22,956 14,805
5,277
P
r
o
fi
t
A
f
t
e
r
T
ax
at
io
n
(PAT)
($’000)
20,367 13,407 22,028 11,799
2,611
P
r
o
fi
t
A
t
t
r
i
b
u
t
a
bl
e
to
Equity Holders of the
C
o
m
p
a
n
y
($’000)
20,120 12,963 21,839 11,230
2,332
Earnings Per Share
(Cents)
6.57
4.24
7.13
3.66
0.76
Dividend Per Share
(Cents)
0.8
1.2
0.8
0.8
0.4
Dividend Payout
(%)
12.2
28.3
11.2
21.9
52.6
Net Assets (NAV)
($’000)
97,012 107,545 125,639 134,317
132,808
NAV Per Share
(Cents)
31.73 35.10 40.98 43.61
43.12
Net Debt To Equity
1
(%)
58.0
10.7
28.0 N.M.
0.6
Return On Equity
2
(%)
20.7
12.3
17.3
8.6
1.9
Return On Total Assets
3
(%)
6.8
5.2
7.1
3.7
0.9
R
e
v
e
n
u
e
by
B
us
in
es
s
Segment
General Construction
($’000)
243,168 131,481 273,055 458,326
215,458
Specialised Engineering
($’000)
78,871 84,699 111,971 134,626
151,335
Property Development
($’000)
91,256 58,027 41,197 78,592
58,569
Green Technology
($’000)
118
R
e
v
e
n
u
e
by
G
eo
g
r
ap
hical Segment
Singapore
($’000)
386,336 238,893 381,843 570,999
319,317
Malaysia
($’000)
26,987 35,342 44,408 100,573
106,191
Notes:
1. Net Debt To Equity = Current and non-current loans and borrowings less cash and cash equivalents divided by total equity
2. Return On Equity = PAT divided by total equity
3. Return On Total Assets = PAT divided by total assets
1,2,3,4,5 7,8,9,10,11,12,13,14,15,16,...127
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