Final Results -5-
September 27 2010 - 2:14AM
UK Regulatory
+------------------------+----------+----------+----------+
| Own shares held in | | (2,768) | (1,235) |
| trust | | | |
+------------------------+----------+----------+----------+
| Retained earnings | | 11,953 | 8,289 |
+------------------------+----------+----------+----------+
| Total Equity | | 34,624 | 20,883 |
+------------------------+----------+----------+----------+
Group Statement of Changes in Shareholders' Equity
+-----------+---------+---------+------------+---------+----------+---------+
| | Attributable to equity holders of the company |
+-----------+---------------------------------------------------------------+
| | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| | Share | Share | Capital | Own | Retained | Total |
| | capital | premium | redemption | shares | earnings | equity |
| | | account | reserve | held | | |
| | | | | in | | |
| | | | | trust | | |
+-----------+---------+---------+------------+---------+----------+---------+
| | GBP'000 | GBP'000 | GBP'000 | GBP'000 | GBP'000 | GBP'000 |
+-----------+---------+---------+------------+---------+----------+---------+
| As at | 895 | 9,766 | 3,127 | (1,235) | 5,323 | 17,876 |
| 31 May | | | | | | |
| 2008 | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| Profit | - | - | - | - | 3,245 | 3,245 |
| for | | | | | | |
| the | | | | | | |
| year | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| Share | - | - | - | - | 105 | 105 |
| based | | | | | | |
| payments | | | | | | |
| charge | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| Deferred | - | - | - | - | 122 | 122 |
| tax | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| Issue | 3 | 38 | - | - | - | 41 |
| of new | | | | | | |
| shares | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| Dividends | - | - | - | - | (506) | (506) |
+-----------+---------+---------+------------+---------+----------+---------+
| As at | 898 | 9,804 | 3,127 | (1,235) | 8,289 | 20,883 |
| 31 May | | | | | | |
| 2009 | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| Profit | | - | - | - | 4,289 | 4,289 |
| for | | | | | | |
| the | | | | | | |
| year | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| Share | - | - | - | - | 228 | 228 |
| based | | | | | | |
| payments | | | | | | |
| charge | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| Deferred | - | - | - | - | (59) | (59) |
| tax | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| Issue | 263 | 11,347 | - | (1,533) | - | 10,077 |
| of new | | | | | | |
| shares | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
| Dividends | - | - | - | - | (794) | (794) |
+-----------+---------+---------+------------+---------+----------+---------+
| As at | 1,161 | 21,151 | 3,127 | (2,768) | 11,953 | 34,624 |
| 31 May | | | | | | |
| 2010 | | | | | | |
+-----------+---------+---------+------------+---------+----------+---------+
Group Cash Flow Statement
+----------------------------------+----------+----------+
| | Year | Year |
| | ended | ended |
+----------------------------------+----------+----------+
| | 31 May | 31 May |
+----------------------------------+----------+----------+
| | 2010 | 2009 |
+----------------------------------+----------+----------+
| | GBP'000 | GBP'000 |
+----------------------------------+----------+----------+
| Cash ?ows from operating | | |
| activities | | |
+----------------------------------+----------+----------+
| Cash generated from operations | 7,598 | 3,816 |
+----------------------------------+----------+----------+
| Finance costs paid | (4) | (1) |
+----------------------------------+----------+----------+
| Income tax paid | (1,250) | (52) |
+----------------------------------+----------+----------+
| Net cash generated by operating | 6,344 | 3,763 |
| activities | | |
+----------------------------------+----------+----------+
| | | |
+----------------------------------+----------+----------+
| Cash ?ows from investing | | |
| activities | | |
+----------------------------------+----------+----------+
| Acquisition of subsidiaries, net | (9,874) | (458) |
| of cash acquired | | |
+----------------------------------+----------+----------+
| Purchases of property, plant and | (457) | (225) |
| equipment | | |
+----------------------------------+----------+----------+
| Purchase of intangible assets | - | (10) |
+----------------------------------+----------+----------+
| Capitalised development costs | (1,570) | (1,174) |
+----------------------------------+----------+----------+
| Finance income | 268 | 845 |
+----------------------------------+----------+----------+
| Net cash used in investing | (11,633) | (1,022) |
| activities | | |
+----------------------------------+----------+----------+
| | | |
+----------------------------------+----------+----------+
| Cash ?ows from ?nancing | | |
| activities | | |
+----------------------------------+----------+----------+
| Issue of share capital | 9,976 | 41 |
+----------------------------------+----------+----------+
| Dividends paid | (794) | (506) |
+----------------------------------+----------+----------+
| Net cash generated/(used) in | 9,182 | (465) |
| ?nancing activities | | |
+----------------------------------+----------+----------+
| | | |
+----------------------------------+----------+----------+
| Net increase in cash and cash | 3,893 | 2,276 |
| equivalents | | |
+----------------------------------+----------+----------+
| | | |
+----------------------------------+----------+----------+
| Cash and cash equivalents at | 14,703 | 12,427 |
| beginning of year | | |
+----------------------------------+----------+----------+
| Cash and cash equivalents at end | 18,596 | 14,703 |
| of year | | |
+----------------------------------+----------+----------+
Notes to the cash flow statement: Cash flows from operating activities
+------------------------------+----------+----------+
| | Year | Year |
| | ended | ended |
+------------------------------+----------+----------+
| | 31 May | 31 May |
+------------------------------+----------+----------+
| | 2010 | 2009 |
+------------------------------+----------+----------+
| | GBP'000 | GBP'000 |
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