SkyCity Entertainment Group Limited (NZX:SKC) Annual Report 2022



The latest annual report of SkyCity Entertainment Group Limited (SKC) was published on 30 Jun 2022. An annual report is a document that public corporations must provide annually to shareholders that describes their operations and financial conditions. Typically, an annual report will contain sections such as General corporate information, Operating and Financial highlights, Letter to shareholders from the CEO, Financial statements etc.

Key Statistics - SKC Annual Results

Amounts in NZD

Total Revenue
555.87M
Gross Profit
266.94M
EBIT
20.69M
Net Tangible Assets
947.38M
Net Income
-33.59M
Capital Expenditures
-100.06M

SKC Income Statement 2022 Annual Report

As per the latest Income Statement of SKC, the Net revenue decreased by $-159.50M (-22%) compared to the previous period. The operating income in 2022 decreased by $-121.57M (-85%). The net income as per the annual report was -33.59M which decreased by $-189.43M (-122%) compared to previous year.

Income Statement Report (2022/2021)

2022 2021
Total Revenue 555.87M 715.36M
Gross Profit 266.94M 402.2M
Operating Income 20.69M 142.26M
Income Before Tax -32.77M 193.02M
Net Income -33.59M 155.83M

Balance Sheet - SKC 2022 Annual Report

Read further: SKC Balance Sheet Detailed Analysis

The latest balance sheet from annual result of SkyCity Entertainment Group Limited showed the company reduced the cash on balance sheet by $-1.24M (-2%). The Net tangible assets of SKC on the balance sheet were at 947.38M which is $-62.64M (-6%) less than previous annual report. The total stockholder equity also decreased by $-65.81M (-4%) compared to previous reporting period.

Balance Sheet Statement Report (2022/2021)

2022 2021
Cash 48.7M 49.94M
Total Assets 2.74B 2.79B
Long Term Debt 451.37M 448.49M
Total Liabilities 1.17B 1.15B
Total Shareholder Equity 1.57B 1.64B
Net Tangible Assets 947.38M 1.01B

Cash Flow Statement - SKC 2022 Annual Report

The 2022 annual cash flow statement of SkyCity Entertainment Group Limited showed that the net income decreased by $-189.43M (-122%) compared to previous reporting period. Also the capital expenditure of SKC increased by $71.61M (42%).

As of 2022, the total cash from investing activities was -31.68M and total cash from financing activities was -60.68M.

Cash Flow Statement Report (2022/2021)

2022 2021
Net Income -33.59M 155.83M
Capital Expenditures -100.06M -171.67M
Dividends Paid -53.08M -53.08M
Total Cash From From Investing Activities -31.68M -251.58M
Total Cash From From Financing Activities -60.68M -37.49M

SkyCity Entertainment Group Limited Annual Report History

Income Statement

Income Statement history of SkyCity Entertainment Group Limited (NZX:SKC)

30 Jun 2022 30 Jun 2021 30 Jun 2020 30 Jun 2019
Total Revenue 555.87M 715.36M 644.61M 804.6M
Cost Of Revenue 288.92M 313.17M 344.91M 349.76M
Gross Profit 266.94M 402.2M 299.7M 454.85M
Research Development - - - -
Selling General Administrative 22.05M 28.82M 28.67M 45.99M
Non Recurring - - - -
Other Operating Expenses 129.55M 142.67M 120.38M 125.56M
Total Operating Expenses 535.18M 573.1M 580.52M 601.3M
Operating Income 20.69M 142.26M 64.09M 203.3M
Total Other Income Expense Net -53.46M 50.76M 169.03M 4.28M
Ebit 20.69M 142.26M 64.09M 203.3M
Interest Expense -37.54M -33.93M -22.36M -11.28M
Income Before Tax -32.77M 193.02M 233.12M 207.58M
Income Tax Expense 827k 37.19M -2.15M 46.75M
Minority Interest - - - -
Net Income From Continuing Ops -33.59M 155.83M 235.27M 160.82M
Discontinued Operations - - 118k -16.24M
Extraordinary Items - - - -
Effect Of Accounting Charges - - - -
Other Items - - - -
Net Income -33.59M 155.83M 235.39M 144.58M
Net Income Applicable To Common Shares -33.59M 155.83M 235.39M 144.58M

Balance Sheet Statement

Balance Sheet Statement history of SkyCity Entertainment Group Limited (NZX:SKC)

30 Jun 2022 30 Jun 2021 30 Jun 2020 30 Jun 2019
Cash 48.7M 49.94M 54.22M 41.57M
Net Receivables 224.97M 184.65M 81.38M 50.22M
Inventory 7.53M 7.19M 6.63M 6.46M
Other Current Assets 26.81M 13.67M 11.09M 115.77M
Total Current Assets 325.97M 279.56M 218.97M 214.03M
Long Term Investments 53.73M 4.11M 23.1M 57.75M
Property Plant Equipment 1.57B 1.5B 1.58B 1.44B
Good Will 35.79M 35.79M 37.69M 35.79M
Intangible Assets 588.11M 591.28M 611.84M 762.62M
Other Assets 171.01M 378.71M 316.85M 45.5M
Deferred Long Term Asset Charges 19.37M 9.74M 6.88M 4.84M
Total Assets 2.74B 2.79B 2.79B 2.55B
Accounts Payable 21.13M 29.54M 65.68M 26.49M
Short Long Term Debt 78M 48.03M 308.43M 49.13M
Other Current Liab 53.22M 79.55M 220.46M 56.72M
Long Term Debt 451.37M 448.49M 307.11M 526.83M
Other Liab 334.64M 316.04M 310.53M 576.48M
Total Current Liabilities 268.88M 269.55M 684.89M 292.68M
Total Liab 1.17B 1.15B 1.35B 1.4B
Common Stock 1.34B 1.34B 1.29B 1.13B
Retained Earnings 235.16M 321.84M 179.64M 77.54M
Treasury Stock -4.45M -22.98M -33.32M -48.56M
Other Stockholder Equity -4.45M -22.98M -33.32M -48.56M
Total Stockholder Equity 1.57B 1.64B 1.43B 1.16B
Net Tangible Assets 947.38M 1.01B 785.08M 357.56M

Cash Flow Statement

Cash Flow Statement history of SkyCity Entertainment Group Limited (NZX:SKC)

30 Jun 2022 30 Jun 2021 30 Jun 2020 30 Jun 2019
Net Income -33.59M 155.83M 235.39M 144.58M
Depreciation 84.2M 77.6M 74.08M 72.29M
Change To Netincome 85.76M 8.8M -136.14M 44.26M
Change To Account Receivables 7.58M 8.85M 7.04M -25.91M
Change To Liabilities -13.98M -12.29M -33.29M 20.25M
Change To Inventory -341k -559k -169k 1.11M
Change To Operating Activities -28.37M 18.38M -24.29M -23.09M
Total Cash From Operating Activities 91.12M 284.79M 120.17M 252.32M
Capital Expenditures -100.06M -171.67M -326.88M -303.65M
Investments -42.14M -42.14M -42.14M -42.14M
Other Cashflows From Investing Activities 118.68M -77.51M 119.18M 184.86M
Total Cashflows From Investing Activities -31.68M -251.58M -99.27M -116.48M
Dividends Paid -53.08M -53.08M -133.29M -127.1M
Net Borrowings 26.79M -63.11M 11.22M 28M
Other Cashflows From Financing Activities -34.44M -21.07M -43.77M -34.25M
Total Cash From Financing Activities -60.68M -37.49M -8.25M -170.22M
Change In Cash -1.24M -4.28M 12.65M -34.38M
Issuance Of Stock 41k 46.68M 177.6M 397k