timely disclosure

Investor Relations (IR)
2022.06.21

Notification of Parent Company’s Financial Results

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June 21, 2022
Company:Nippon Paint Holdings Co., Ltd. Representative:Yuichiro Wakatsuki
Director, Representative Executive Officer & Co-President
Wee Siew Kim
Director, Representative Executive Officer & Co-President
(Code No.: 4612; TSE Prime)
Contact:Ryosuke Tanaka
General Manager, Investor Relations and Sustainability
(TEL +81-50-3131-7419)

Notification of Parent Company’s Financial Results

Nippon Paint Holdings Co., Ltd. (the “Company”) announces the FY2021 financial results of its Parent Company, Nipsea International Limited.

1. Corporate Overview

(1) Company NameNipsea International Limited
(2) AddressSuites 3203 and 3204, 32nd Floor, Tower 2, Nina Tower, No.8 Yeung Uk Road, Tsuen Wan, New Territories, Hong Kong, China
(3) RepresentativeDirector, Leung Ho Foon
(4) Main businessInvestment Business
(5) CapitalHK $1,450 million

2. Status of Shares of Nipsea International Limited

(1) Status, by Type of Holder

(As of December 31, 2021)

ClassificationSharesNumber of fractional shares (shares)

Govern-

 ments / Local Governments
Financial institutionsFinancial instruments operatorsOther corporationsForeign corporations, etc.Individuals & OthersTotal
Excl. individualsIndividuals
Number of shareholders (persons)----1--1-
Number of shares held (shares)----1,450,000,000--1,450,000,000-
Percentage of shares held (%)----100.00--100.00-

(2) Major Shareholders

(As of December 31, 2021)

Name or trade nameAddressNumber of shares held
(shares)
Percentage to total number of shares issued
(%)
Nipsea Holdings International LimitedSuites 3203 and 3204, 32nd Floor, Tower 2, Nina Tower, No.8 Yeung Uk Road, Tsuen Wan, New Territories, Hong Kong, China1,450 million
100.00
Total1,450 million
100.00

3. Board of Directors

(As of filing date)

Responsi-bilitiesNameDate of birthBrief profileNumber of shares held
(shares)
DirectorLeung Ho FoonOct. 9, 1949
Nov. 2016
Director, Nipsea International Limited (present)
Nov. 2020
Director, Wuthelam Holdings Limited (present)
Nov. 2020
Director, Nipsea Holdings International Limited (present)
Mar. 2021
Director, Rainbow Light Limited (present)
DirectorGoh Hup JinApr. 6, 1953
Jun. 1984
Managing Director, Wuthelam Holdings Limited (present)
Sep. 1987
Director, Nipsea Holdings International Limited (present)
Dec. 1993
Managing Director, Nippon Paint Holdings SG Pte. Ltd. (present)
Jan. 2011
Director, Epimetheus Limited (present)
Aug. 2012
Director, Nipsea International Limited (present)
Dec. 2013
Director, Rainbow Light Limited (present)
Dec. 2014
Director of the Board, the Company
Mar. 2018
Chairman of the Board, the Company
Mar. 2019
Director of the Board, the Company
Apr. 2021
Chairman, the Company (present)
DirectorLavoo Martin Yuen AnFeb. 12, 1987
Nov. 2016
Director, Nipsea International Limited (present)
DirectorSim Gaik HeokAug. 22, 1967
Mar. 2019
Director, Nipsea International Limited (present)
DirectorNg Kwok Kam CeciliaFeb. 25, 1967
Mar. 2021
Director, Wuthelam Holdings Limited (present)
Mar. 2021
Director, Nipsea International Limited (present)
Mar. 2021
Director, Rainbow Light Limited (present)

4. Financial Statements

(1) Balance Sheet

(Unit: one thousand HKD)

Line itemFY2021FY2020
  • Non-current assets
  • Plant and equipment
  • Investment in an associate
  • Investment in subsidiaries
  • Long-term investment

  • 133
  • -
  • 109,929,516
  • 1,461

  • 93
  • 107,968,580
  • 76,613
  • 1,461
109,931,111108,046,748
  • Current assets
  • Deposits, prepayments and other receivables
  • Amount due from a subsidiary
  • Pledged bank deposit
  • Cash and cash equivalents

  • 128
  • 18,328
  • 250
  • 470,469

  • 128
  • 17,544
  • 250
  • 249,334
489,175267,256
  • Current liabilities
  • Accrued expenses
  • Amount due to immediate parent
  • Amount due to intermediate holding company

  • 446
  • 14,323,569
  • 76,764,275

  • 4,551
  • 570,725
  • 12,480,087
91,088,29013,055,363
  • Net current liabilities
(90,599,115)(12,788,106)
  • Net Assets
19,331,99695,258,641
  • Capital and reserve
  • Share capital
  • Accumulated profits

  • 1,450,000
  • 17,881,996

  • 1,450,000
  • 93,808,641
  • Total Equity
19,331,99695,258,641

Note: Amounts are rounded down.

(2) Statement of profit or loss and other comprehensive income

(Unit: one thousand HKD)


FY2021FY2020
Revenue657,271415,512
Other income2362,918
Administrative expenses(4,031)(4,064)
Other operating expenses(17,709)(7,803)
Fair value (loss)/gain on investment in an associate(19,330,095)56,622,541
Impairment loss on investment in a subsidiary(57,199,454)-
(Loss)/profit before taxation(75,893,781)57,029,104
Income tax(32,863)(20,775)
(Loss)/profit and other comprehensive (loss)/income for the year(75,926,645)57,008,328

Note: Amounts are rounded down.

(3) Statement of cash flows

(Unit: one thousand HKD)


FY2021FY2020
  • Operating Activities
  • (Loss)/profit before taxation
  • Bank interest income
  • Depreciation
  • Fair value loss/(gain) on investment in an associate
  • Impairment loss on investment in a subsidiary

  • (75,893,781)
  • (230)
  • 50
  • 19,330,095
  • 57,199,454

  • 57,029,104
  • (2,517)
  • 48
  • (56,622,541)
  • -
  • Operating profit before changes in working capital
  • Decrease/(increase) in deposits, prepayments and other receivables
  • Increase in amount due from a subsidiary
  • Increase/(decrease) in accrued expenses
  • Increase/(decrease) in amount due to immediate parent
  • Increase/(decrease) in amount due to intermediate holding company
  • 635,587
  • -
  • (783)
  • (4,104)
  • 13,752,843
  • 64,284,187
  • 404,093
  • 393
  • (2,899)
  • 4,096
  • (302)
  • (228,149)
Cash generated from operations78,667,730177,232
Withholding tax paid(32,863)(20,775)
Net cash generated from operating activities78,634,867156,456
  • Investing activities
  • Interest received
  • Increase in pledged bank deposit
  • Purchases of plant and equipment
  • Acquisition of a subsidiary

  • 230
  • 0
  • (90)
  • (78,413,872)

  • 2,517
  • (250)
  • -
  • -
Net cash (used in)/generated from investing activities(78,413,731)2,267
Net increase in cash and cash equivalents221,135158,724
Cash and cash equivalents at January 1249,33490,609
Cash and cash equivalents at December 31470,469249,334
  • Analysis of the balance of cash and cash equivalents


Time deposit with banks with maturity within 3 months40,852221,883
Cash and bank balances429,61627,450
Cash and cash equivalents at December 31470,469249,334

Note: Amounts are rounded down.

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