Skellerup Holdings Limited (NZX:SKL) Annual Report 2022



The latest annual report of Skellerup Holdings Limited (SKL) 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 - SKL Annual Results

Amounts in NZD

Total Revenue
316.83M
Gross Profit
126.43M
EBIT
64.07M
Net Tangible Assets
146.72M
Net Income
47.81M
Capital Expenditures
-9.48M

SKL Income Statement 2022 Annual Report

As per the latest Income Statement of SKL, the Net revenue increased by $37.31M (13%) compared to the previous period. The operating income in 2022 increased by $10.04M (19%). The net income as per the annual report was 47.81M which increased by $7.64M (19%) compared to previous year.

Income Statement Report (2022/2021)

2022 2021
Total Revenue 316.83M 279.51M
Gross Profit 126.43M 113.62M
Operating Income 64.07M 54.03M
Income Before Tax 64.29M 54.24M
Net Income 47.81M 40.17M

Balance Sheet - SKL 2022 Annual Report

Read further: SKL Balance Sheet Detailed Analysis

The latest balance sheet from annual result of Skellerup Holdings Limited showed the company reduced the cash on balance sheet by $-877000 (-6%). The Net tangible assets of SKL on the balance sheet were at 146.72M which is $8.39M (6%) more than previous annual report. The total stockholder equity also increased by $15.06M (8%) compared to previous reporting period.

Balance Sheet Statement Report (2022/2021)

2022 2021
Cash 14.8M 15.67M
Total Assets 336.64M 284.87M
Long Term Debt 40M 24M
Total Liabilities 125.44M 88.72M
Total Shareholder Equity 211.21M 196.15M
Net Tangible Assets 146.72M 138.33M

Cash Flow Statement - SKL 2022 Annual Report

The 2022 annual cash flow statement of Skellerup Holdings Limited showed that the net income increased by $7.64M (19%) compared to previous reporting period. Also the capital expenditure of SKL decreased by $-4.08M (-75%).

As of 2022, the total cash from investing activities was -19.75M and total cash from financing activities was -25.04M.

Cash Flow Statement Report (2022/2021)

2022 2021
Net Income 47.81M 40.17M
Capital Expenditures -9.48M -5.41M
Dividends Paid -35.15M -27.3M
Total Cash From From Investing Activities -19.75M -7.07M
Total Cash From From Financing Activities -25.04M -49.23M

Skellerup Holdings Limited Annual Report History

Income Statement

Income Statement history of Skellerup Holdings Limited (NZX:SKL)

30 Jun 2022 30 Jun 2021 30 Jun 2020 30 Jun 2019
Total Revenue 316.83M 279.51M 251.39M 245.79M
Cost Of Revenue 190.4M 165.89M 155.12M 152.92M
Gross Profit 126.43M 113.62M 96.27M 92.88M
Research Development - - - -
Selling General Administrative 62.36M 59.6M 56.28M 51.46M
Non Recurring - - - -
Other Operating Expenses - -6k -6k -6k
Total Operating Expenses 252.76M 225.48M 211.39M 204.38M
Operating Income 64.07M 54.03M 39.99M 41.42M
Total Other Income Expense Net 215k 214k -164k -1.38M
Ebit 64.07M 54.03M 39.99M 41.42M
Interest Expense -1.78M -1.55M -2.14M -1.35M
Income Before Tax 64.29M 54.24M 39.83M 40.04M
Income Tax Expense 16.47M 14.07M 10.77M 10.97M
Minority Interest - - - -
Net Income From Continuing Ops 47.81M 40.17M 29.06M 29.06M
Discontinued Operations - - - -
Extraordinary Items - - - -
Effect Of Accounting Charges - - - -
Other Items - - - -
Net Income 47.81M 40.17M 29.06M 29.06M
Net Income Applicable To Common Shares 47.81M 40.17M 29.06M 29.06M

Balance Sheet Statement

Balance Sheet Statement history of Skellerup Holdings Limited (NZX:SKL)

30 Jun 2022 30 Jun 2021 30 Jun 2020 30 Jun 2019
Cash 14.8M 15.67M 13.62M 9.64M
Net Receivables 64.07M 52.39M 46.48M 52.22M
Inventory 69.59M 50.26M 52.1M 48.34M
Other Current Assets 367k 492k 378k 310k
Total Current Assets 148.83M 118.81M 112.57M 110.51M
Long Term Investments 1.51M 1.56M 1.73M 1.72M
Property Plant Equipment 117.72M 103.31M 109.66M 91.3M
Good Will 61.45M 54.91M 54.91M 49.48M
Intangible Assets 3.03M 2.91M 1.22M 1.06M
Other Assets 4.09M 3.38M 3.56M 3M
Deferred Long Term Asset Charges 4.02M 3.35M 3.12M 2.82M
Total Assets 336.64M 284.87M 283.64M 257.06M
Accounts Payable 18.8M 14.24M 12.63M 13.26M
Other Current Liab 24.3M 19.5M 14.24M 12.52M
Long Term Debt 40M 24M 41.41M 46.38M
Other Liab 5.83M 4.15M 3.34M 3.37M
Total Current Liabilities 55.9M 46.35M 36.55M 28.91M
Total Liab 125.44M 88.72M 99.08M 78.67M
Common Stock 72.41M 72.41M 72.17M 72.17M
Retained Earnings 145.41M 132.74M 119.45M 115.71M
Treasury Stock -6.6M -9M -7.07M -9.49M
Other Stockholder Equity -6.6M -9M -7.07M -9.49M
Total Stockholder Equity 211.21M 196.15M 184.56M 178.39M
Net Tangible Assets 146.72M 138.33M 128.44M 127.86M

Cash Flow Statement

Cash Flow Statement history of Skellerup Holdings Limited (NZX:SKL)

30 Jun 2022 30 Jun 2021 30 Jun 2020 30 Jun 2019
Net Income 47.81M 40.17M 29.06M 29.06M
Depreciation 13.19M 12.09M 12.34M 6.96M
Change To Netincome -1.06M 351k 1.26M 636k
Change To Liabilities - - - -
Change To Operating Activities -17.1M 5.9M 5.17M -7.91M
Total Cash From Operating Activities 43.32M 58.8M 48.01M 28.92M
Capital Expenditures -9.48M -5.41M -3.94M -4.45M
Total Cashflows From Investing Activities -19.75M -7.07M -10.15M -12.75M
Dividends Paid -35.15M -27.3M -25.32M -24.34M
Net Borrowings 10.11M -22.17M -8.75M 5.82M
Total Cash From Financing Activities -25.04M -49.23M -34.07M -16.1M
Effect Of Exchange Rate 584k -433k 189k -117k
Change In Cash -877k 2.06M 3.98M -42k