TIDMBXP

RNS Number : 4121S

Beximco Pharmaceuticals Ltd

06 November 2023

6 November 2023

This announcement contains inside information as stipulated under the UK version of the Market Abuse Regulation 596/2014 which is part of English Law by virtue of the European (Withdrawal) Act 2018, as amended. On publication of this announcement via a regulatory information service, this information is considered to be in the public domain.

BEXIMCO PHARMACEUTICALS LIMITED

Financial Results for the First Quarter Ended 30 September 2023

Beximco Pharmaceuticals Limited ("Beximco Pharma", "BPL" or "the Company"; AIM Symbol: BXP, LEI No.:213800IMBBD6TIOQGB56), the fast-growing manufacturer of generic pharmaceutical products and active pharmaceutical ingredients, today announces its unaudited results for the three-month period ended 30 September 2023. The information set out below has been released to the Dhaka and Chittagong Stock Exchanges in compliance with the requirements from the Bangladesh SEC.

Beximco Pharma Managing Director Nazmul Hassan MP commented:

"Amidst challenges, we delivered strong growth in revenue in this first quarter. The ongoing macro-economic headwinds, especially the devaluation of currency and high inflationary pressures, weigh on our bottom line and somewhat overshadow our accomplishment. That said, we remain confident in the strength of the business and our strategy as we continue to focus on growth through the delivery of high-quality, affordable medicines to patients."

   The detailed accounts can be viewed at the Company website:   www.beximcopharma.com 

For further information please visit www.beximcopharma.com or enquire to:

Beximco Pharma

Nazmul Hassan MP, Managing Director

Tel: +880 2 586/11001, Ext.20080

S M Rabbur Reza, Chief Operating Officer

Tel: +880 2 58611001, Ext.20111

Mohammad Ali Nawaz, Chief Financial Officer

Tel: +880 2 58611001, Ext.20030

   SPARK Advisory Partners Limited   (Nominated Adviser) 

Mark Brady / Andrew Emmott

Tel: +44 (0) 20 3368 3551 / 3555

   SP Angel Corporate Finance LLP   (Broker) 

Matthew Johnson

Tel: +44 (0) 20 3470 0470

FTI Consulting

Simon Conway / Victoria Foster Mitchell

Tel: +44 (0) 20 3727 1000

Notes to Editors

About Beximco Pharmaceuticals Limited

Beximco Pharma is a leading manufacturer and exporter of medicines based in Bangladesh. Since its inception in 1976, the Company remains committed to health and wellbeing of people across all the continents by providing access to contemporary medicines. Company's broad portfolio of generics encompasses diverse delivery systems such as tablets, capsules, liquids, semi-solids, intravenous fluids, metered dose inhalers, dry powder inhalers, sterile ophthalmic drops, insulins, prefilled syringes, injectables, nebuliser solutions, oral soluble films etc. The Company also undertakes contract manufacturing for multinational and leading global generic pharmaceutical companies.

Beximco Pharma's state-of-the-art manufacturing facilities are certified by global regulatory authorities of USA, Europe, Australia, Canada, GCC and Latin America, among others and it has a geographic footprint in more than 50 countries. More than 5,500 employees are driving the company towards achieving its aspiration to be among the most admired companies in the world.

Beximco Pharmaceuticals Limited and its Subsidiaries

Consolidated Statement of Financial Position (Un-audited)

As at September 30, 2023

 
                                                           Taka '000 
                                               September    June 30, 
                                                30, 2023        2023 
ASSETS 
  Non-Current Assets                          48,409,531  48,280,929 
    Property, Plant and Equipment- Carrying 
     Value                                    42,356,471  42,245,615 
    Right-of-use Assets                          538,197     562,224 
    Intangible Assets                          4,766,816   4,721,035 
    Deferred Tax Asset                            52,504      56,512 
    Goodwill                                     674,570     674,570 
    Other Investments                             20,973      20,973 
 
    Current Assets                            20,942,045  20,875,854 
    Inventories                               11,958,465  12,133,278 
    Spares & Supplies                            888,249     819,740 
    Accounts Receivable                        3,671,221   3,574,655 
    Loans, Advances and Deposits               3,049,766   2,984,877 
    Advance Income Tax                           230,467     227,618 
    Short Term Investment                        200,000           - 
    Cash and Cash Equivalents                    943,877   1,135,686 
                                              ----------  ---------- 
TOTAL ASSETS                                  69,351,576  69,156,783 
                                              ----------  ---------- 
 
SHAREHOLDERS' EQUITY AND LIABILITIES 
  Equity Attributable to the Owners of 
   the Company                                45,233,894  43,680,704 
    Issued Share Capital                       4,461,121   4,461,121 
    Share Premium                              5,269,475   5,269,475 
    Excess of Issue Price over Face Value 
     of GDRs                                   1,689,637   1,689,637 
    Capital Reserve on Merger                    294,951     294,951 
    Revaluation Surplus                        1,140,210   1,141,178 
    Unrealized Gain/(Loss)                        18,148      18,148 
    Retained Earnings                         32,360,352  30,806,194 
Non-Controlling Interest                       3,953,454   3,938,962 
TOTAL EQUITY                                  49,187,348  47,619,666 
  Non-Current Liabilities                      8,383,552   8,272,093 
    Long Term Borrowings-Net of Current 
     Maturity                                  2,306,715   2,550,833 
    Liability for Gratuity, Pension and 
     WPPF & Welfare Funds                      3,535,080   3,170,764 
    Deferred Tax Liability                     2,541,757   2,550,496 
 
    Current Liabilities and Provisions        11,780,676  13,265,024 
    Short Term Borrowings                      4,732,715   6,621,170 
    Long Term Borrowings-Current Maturity      1,468,445   1,439,895 
    Creditors and Other Payables               3,706,475   3,531,707 
    Accrued Expenses                           1,032,588   1,129,700 
    Dividend Payable / Unclaimed Dividend         88,235      88,465 
    Income Tax Payable                           752,218     454,087 
                                              ----------  ---------- 
TOTAL EQUITY AND LIABILITIES                  69,351,576  69,156,783 
                                              ----------  ---------- 
 

Beximco Pharmaceuticals Limited and its Subsidiaries

Consolidated Statement of Profit or Loss and Other Comprehensive Income (Un-audited)

For the Period July - September 2023

 
                                                                    Taka '000 
                                             July -September  July -September 
                                                        2023             2022 
 
Net Revenue                                       11,159,367        9,787,202 
Cost of Goods Sold                               (6,251,512)      (5,351,036) 
                                             ---------------  --------------- 
Gross Profit                                       4,907,855        4,436,166 
                                             ---------------  --------------- 
 
Operating Expenses                               (2,598,458)      (2,313,283) 
                                             ---------------  --------------- 
Administrative Expenses                            (304,684)        (274,747) 
Selling, Marketing and Distribution 
 Expenses                                        (2,293,774)      (2,038,536) 
                                             ---------------  --------------- 
Profit from Operations                             2,309,397        2,122,883 
Other Income                                         144,875          168,042 
Finance Cost                                       (297,754)        (310,973) 
Profit Before Contribution to WPPF 
 & Welfare Funds                                   2,156,518        1,979,952 
Contribution to WPPF & Welfare Funds               (103,572)         (98,210) 
                                             ---------------  --------------- 
Profit Before Tax                                  2,052,946        1,881,742 
Income Tax Expenses                                (485,545)        (469,029) 
                                             ---------------  --------------- 
Current Tax                                        (489,995)        (393,848) 
Deferred Tax                                           4,450         (75,181) 
                                             ---------------  --------------- 
Profit After Tax                                   1,567,401        1,412,713 
Profit/(Loss) Attributable to: 
                                             ---------------  --------------- 
Owners of the Company                              1,552,909        1,447,027 
Non-Controlling Interest                              14,492         (34,314) 
                                             ---------------  --------------- 
                                                   1,567,401        1,412,713 
Other Comprehensive Income/(Loss)                          -          (3,340) 
                                             ---------------  --------------- 
Total Comprehensive Income                         1,567,401        1,409,373 
Total Comprehensive Income Attributable 
 to: 
                                             ---------------  --------------- 
Owners of the Company                              1,552,909        1,443,687 
Non-Controlling Interest                              14,492         (34,314) 
                                             ---------------  --------------- 
                                                   1,567,401        1,409,373 
                                             ===============  =============== 
Earnings Per Share 
 (EPS)                                  Tk.             3.48             3.24 
                                             ===============  =============== 
Number of Shares                       Nos.      446,112,089      446,112,089 
 

Beximco Pharmaceuticals Limited and its Subsidiaries

Consolidated Statement of Changes in Equity (Un-audited)

For the Period July - September 2023

 
As at September 30, 2023 
                                                                                                                               Taka '000 
---------------------------------------------------------------------------------------------------------------------------------------- 
                Share      Share      Excess     Capital    Revaluation    Unrealized  Retained    Equity        Non-         Total 
                 Capital    Premium    of Issue  Reserve     Surplus        Gain/       Earnings   attributable  Controlling   Equity 
                                       Price     on Merger                  (Loss)                 to Owners     Interests 
                                       over                                                        of the 
                                       Face                                                        Company 
                                       Value 
                                       of GDRs 
                ---------  ---------  ---------  ---------  -------------  ----------  ----------  ------------  -----------  ---------- 
Balance 
 as on July 
 01, 2023       4,461,121  5,269,475  1,689,637    294,951      1,141,178      18,148  30,806,194    43,680,704    3,938,962  47,619,666 
                ---------  ---------  ---------  ---------  -------------  ----------  ----------  ------------  -----------  ---------- 
Total 
Comprehensive 
Income: 
                ------------------------------------------------------------------------------------------------------------------------ 
Profit/(Loss) 
 for the 
 Period                 -          -          -          -              -           -   1,552,909     1,552,909       14,492   1,567,401 
                ---------  ---------  ---------  ---------  -------------  ----------  ----------  ------------  -----------  ---------- 
Other                   -          -          -          -              -           -           -             -            -           - 
Comprehensive 
Income/(Loss) 
                ---------  ---------  ---------  ---------  -------------  ----------  ----------  ------------  -----------  ---------- 
 
Adjustment 
 for 
 Depreciation 
 on Revalued 
 Assets                 -          -          -          -        (1,249)           -       1,249             -            -           - 
                ---------  ---------  ---------  ---------  -------------  ----------  ----------  ------------  -----------  ---------- 
Adjustment 
 for Deferred 
 Tax on 
 Revalued 
 Assets                 -          -          -          -            281           -           -           281            -         281 
                ---------  ---------  ---------  ---------  -------------  ----------  ----------  ------------  -----------  ---------- 
Balance 
 as on 
 September 
 30, 2023       4,461,121  5,269,475  1,689,637    294,951      1,140,210      18,148  32,360,352    45,233,894    3,953,454  49,187,348 
                ---------  ---------  ---------  ---------  -------------  ----------  ----------  ------------  -----------  ---------- 
Net Asset Value 
 (NAV) Per Share                                                                              Tk.        101.40 
-------------------------  ---------  --------------  ------------  -----------------  ----------  ------------  -----------  ---------- 
 
 
 
As at September 30, 2022 
------------------------------------------------------------------------------------------------------------------------------------ 
                Share      Share      Excess     Capital  Revaluation  Unrealized  Retained    Equity        Non-         Total 
                 Capital    Premium    of Issue  Reserve   Surplus      Gain/       Earnings   attributable  Controlling   Equity 
                                       Price     on                     (Loss)                 to Owners     Interests 
                                       over      Merger                                        of the 
                                       Face                                                    Company 
                                       Value 
                                       of GDRs 
                ---------  ---------  ---------  -------  -----------  ----------  ----------  ------------  -----------  ---------- 
Balance 
 as on July 
 01, 2022       4,461,121  5,269,475  1,689,637  294,951    1,116,896      20,532  27,747,886    40,600,498    4,035,507  44,636,005 
                ---------  ---------  ---------  -------  -----------  ----------  ----------  ------------  -----------  ---------- 
Total 
Comprehensive 
Income: 
                -------------------------------------------------------------------------------------------------------------------- 
Profit/(Loss) 
 for the 
 Period                 -          -          -        -            -           -   1,447,027     1,447,027     (34,314)   1,412,713 
                ---------  ---------  ---------  -------  -----------  ----------  ----------  ------------  -----------  ---------- 
Other 
 Comprehensive 
 Income/(Loss)          -          -          -        -            -     (3,340)           -       (3,340)            -     (3,340) 
                ---------  ---------  ---------  -------  -----------  ----------  ----------  ------------  -----------  ---------- 
 
Adjustment 
 for 
 Depreciation 
 on Revalued 
 Assets                 -          -          -        -      (1,409)           -       1,409             -            -           - 
                ---------  ---------  ---------  -------  -----------  ----------  ----------  ------------  -----------  ---------- 
Adjustment 
 for Deferred 
 Tax on 
 Revalued 
 Assets                 -          -          -        -          317           -           -           317            -         317 
                ---------  ---------  ---------  -------  -----------  ----------  ----------  ------------  -----------  ---------- 
Balance 
 as on 
 September 
 30, 2022       4,461,121  5,269,475  1,689,637  294,951    1,115,804      17,192  29,196,322    42,044,502    4,001,193  46,045,695 
                ---------  ---------  ---------  -------  -----------  ----------  ----------  ------------  -----------  ---------- 
 
Net Asset Value (NAV) 
 Per Share                                                                                Tk.         94.25 
------------------------------------  ---------  -------  -----------  ----------  ----------  ------------  -----------  ---------- 
 

Beximco Pharmaceuticals Limited and its Subsidiaries

Consolidated Statement of Cash Flows (Un-audited)

For the Period July - September 2023

 
                                                                      Taka '000 
                                               July -September  July -September 
                                                          2023             2022 
Cash Flows from Operating Activities: 
                                               ---------------  --------------- 
Receipts from Customers and Others                  11,197,080        9,853,354 
Payments to Suppliers and Employees                (7,998,606)      (8,584,421) 
                                               ---------------  --------------- 
Cash Generated from Operations                       3,198,474        1,268,933 
Interest Paid                                        (295,410)        (310,322) 
Interest Received                                            -            1,310 
Income Tax Paid                                      (194,713)        (275,443) 
Net Cash Generated from Operating Activities         2,708,351          684,478 
Cash Flows from Investing Activities: 
                                               ---------------  --------------- 
Acquisition of Property, Plant and Equipment         (513,160)        (636,985) 
Intangible Assets                                     (97,638)         (45,431) 
Disposal of Property, Plant and Equipment                3,488               20 
Disposal of Intangible Assets                                -           52,125 
Short Term Investment                                (200,000)                - 
Net Cash Used in Investing Activities                (807,310)        (630,271) 
Cash Flows from Financing Activities: 
                                               ---------------  --------------- 
Net Increase /(Decrease) in Long Term 
 Borrowings                                          (211,318)        (619,541) 
Net Increase/(Decrease) in Short Term 
 Borrowings                                        (1,888,455)          256,464 
Dividend Paid                                            (231)            (295) 
                                               ---------------  --------------- 
Net Cash (Used in) / from Financing 
 Activities                                        (2,100,004)        (363,372) 
Increase/(Decrease) in Cash and Cash 
 Equivalents                                         (198,963)        (309,165) 
Cash and Cash Equivalents at Beginning 
 of Period                                           1,135,686        1,168,674 
Effect of Exchange Rate Changes on Cash 
 and Cash Equivalents                                    7,154           13,144 
                                               ---------------  --------------- 
Cash and Cash Equivalents at End of 
 Period                                                943,877          872,653 
 
Number of Shares                                   446,112,089      446,112,089 
Net Operating Cash Flows Per Share                        6.07             1.53 
 

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