RNS Number:7725K
Stilfontein Gold Mining Co
27 September 2001


STILFONTEIN
GOLD MINING COMPANY LIMITED
Registration Number 1949/033412/06
Share Code: STI
ISIN: ZAE 000007118

AUDITED RESULTS FOR THE YEAR ENDING 30 JUNE 2001

Issued Capital 13 062 920 Ordinary Shares of 50 cents each
Financial Results

INCOME STATEMENT                        Year ended    Year ended
                                        30/06/2001    30/06/2000
                                           R'000         R'000

Operating Revenue                            161           656
Operating expenses - administrative         (297)         (685)
Operating expenses - other                   672        (3 536)
                                        -----------   ----------
Operating Profit /(Loss)                     536        (3 565)
Net financing income                          30           580
                                        -----------   ----------
Loss before Tax                              566        (2 985)
Taxation                                      -           (692)
                                        -----------   ----------
Net profit/(loss) for the year               566        (3 677)
                                        ===========   ==========
Funds released from non distributable
reserve due to capital recoupments and 
movement in unlisted investments              -          1 047
                                        -----------   ----------
Headline earnings/(loss) per share-cents       4           (28)
Basic earnings/(loss) per share - cents        4           (28)

BALANCE SHEET
Assets

Non-current assets                         7 995         7 995
                                        ----------    ----------
Property, plant and equipment              7 966         7 966
Investments                                   29            29
                                        ----------    ---------
Current assets                             5 617         8 224
                                        ----------    ----------
Receivables and prepayments                5 361         7 973
Cash and bank balances                       256           251
                                        ==========    ==========
Total assets                              13 612        16 219
                                        ==========    ==========

EQUITY AND LIABILITIES 
                                       Year ended    Year ended
                                       30/06/2001    30/06/2000
                                           R'000         R'000

Capital and reserves                       11 831        11 265
                                        -----------   ----------
Share capital                               6 531         6 531
Share premium                               1 514         1 514
Retained earnings                           3 786         3 220
                                        -----------   ----------
Current Liabilities                         1 781         4 954
                                        -----------   ----------
Trade payables and provisions               1 781         2 149
Bank overdraft                                 -          2 805
                                        ===========   ==========
Total equity and liabilities               13 612        16 219
                                        ===========   ==========
CASH FLOW STATEMENT
                                        Year ended    Year ended
                                        30/06/2001    30/06/2000
Cash flow from operating activity
Cash utilised in operations                 2 810        (6 431)
Tax paid                                       -           (607)
                                        -----------   ----------
Net cash outflow - operating activities     2 810        (7 038)
                                        ===========   ==========
Cash flow from investing activities

Proceeds on disposal of property, plant
and equipment                                  -            980
Proceeds on the disposal of other 
investments                                    -            112
                                        -----------   ----------
Net cash inflow from investing activities      -          1 092
                                        ===========   ==========
Net decrease in cash and cash equivalents   2 810        (5 946)
Cash and cash equivalents at the beginning
of the year                                (2 554)        3 392
                                        ===========   ==========
Cash and cash equivalents at the end of
the year                                      256        (2 554)
                                        ===========   ==========

STATEMENT OF SHAREHOLDERS EQUITY
             Number of  Stated Capital  Share Premium  Reserves Retained Total
             Ordinary                                           Earnings
             shares     R000                                    R000      R000
                                     
------------------------------------------------------------------------------
Balance at 
30 June 1999 13 062 920  6 531          1 514          -        6 897   14 942

                                     
------------------------------------------------------------------------------
Loss for 
the year                                                        -3 677  -3 677

                                     
------------------------------------------------------------------------------
Balance at 
30 June 2000 13 062 920   6 531          1 514         0         3 220  11 265
                                     
------------------------------------------------------------------------------
Profit for 
the year                                                                      
                                                                   566     566
                                     
------------------------------------------------------------------------------
Balance at 
30 June 2001 13 062 920   6 531          1 514         0         3 786  11 831
                                     
------------------------------------------------------------------------------
  
During the period under review the company continued pumping operations on
behalf of Hartebeestfontein  Gold Mining Company Limited, and rehabilitation
and maintenance on behalf of Rand Leases Properties and Mine Waste Solutions.
No dividends were declared for the year ended 30 June 2001.

Directors: R.A.R.Kebble (Chairman),H.C.Buitendag,P.R.A.Ferguson,R.B.Kebble
Company Secretary: M.A.Eloff

Registered Office and Secretary: DRD Building,45 Empire Road,Parktown,2193,PO
Box 390,Maraisburg,1700
Telephone(011)482-4968 Telefax(011)482-1022

Transfer Secretaries:Computershare Services(Pty)Limited
4th Floor,Edura Building,41Fox Street,Johannesburg,PO Box 62391,
Marshalltown,2107,Republic of South Africa
Telephone(011)370-7743 Telefax(011)370-7916

United Kingdom Registrars:Computershare Services PLC,
Securities Services-Registrars,PO Box 82,The Pavillions,Bridgewater
Road,Bristol BS99 7NH
Telephone(0117)930-6600 Telefax(0117)930-6509

United Kingdom Secretaries:St.James's Corporate Services Limited,6 St.James's
Place,London,SW1A 1NP
Telephone(020)499-3916 Telefax:(020)491-1989
French Agents:Euro Emetteurs Finance,48 Boulevard des
Batignolles,75850,Paris,CEDEX 17,Telephone(+331)5530 5900
Telefax(+331)5530 5910
                                     
                                           


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