ข่าวแจ้งตลาดหลักทรัพย์
FINANCIAL STATEMENTS FOR YEAR 2000
27 กุมภาพันธ์ 2544
                                    
                                        Thanulux  Public  Company  Limited  and  Subsidiaries
                                                   Balance  Sheet
                                                 As  of December 31,
                                                    
                                                                             Consolidated                    The company only
                   ASSETS                                              2000 (Baht)  1999 (Baht)       2000 (Baht)       1999 (Baht)
Current  assets
    Cash on hand and at banks                                        60,295,893.98     53,548,469.40     58,292,251.71     50,677,393.02
    Fixed deposit                                 (Note 4)          157,571,177.27    165,000,000.00    157,571,177.27    165,000,000.00
    Trade accounts  and  notes  receivable  (Notes 3,5 )            305,143,587.10    241,784,689.39    311,641,838.96    242,157,743.90
    Less allowance for doubtful accounts                                171,130.12      5,537,503.93        171,130.12      5,537,503.93
    Trade accounts  and  notes  receivable, net                     304,972,456.98    236,247,185.46    311,470,708.84    236,620,239.97
    Short-term loans                               (Note6 )
         - Related parties                                           63,000,000.00     87,000,000.00    104,800,000.00    145,500,000.00
    Inventories                                     (Notes 3,7 )    273,314,933.76    192,374,589.45    264,876,131.98    180,788,429.74
    Other  current  assets
         Accrued revenue                                             13,169,616.25     29,339,115.67     13,491,481.35     29,342,866.37
         Advances                                                       376,178.44      1,545,987.53        376,178.44      1,545,987.53
         Others                                                       5,190,301.86      2,931,979.03      4,895,269.02      3,237,818.12
    Total current assets                                            877,890,558.54    767,987,326.54    915,773,198.61    812,712,734.75
Investments                                        (Notes 3,8 )
    - Related parties                                               285,795,204.87    184,884,093.56    307,261,182.13    196,594,514.33
    - Others                                                         58,251,838.50     24,057,862.50     58,251,838.50     24,057,862.50
Property, plant and  equipment, net           (Notes 3,9 )           479,718,307.81    451,873,308.38    417,926,530.10    384,920,754.45
Other  assets
    Advances                                                                     -     23,088,665.75                 -     23,088,665.75
    Deferred charges                                                    150,916.29        268,944.29        150,916.29        268,944.29
    Others                                                            4,589,054.02      4,122,798.46      4,570,177.96      4,103,307.96
Total  assets                                                      1,706,395,880.03  1,456,282,999.48  1,703,933,843.59  1,445,746,784.03
Notes to the financial statements are part of all the financial statements.
   
                                Thanulux  Public  Company  Limited  and  Subsidiaries
                                                    Balance  Sheet
                                                  As  of December 31,
                                                 
                                                                      Consolidated                    The company only
  LIABILITIES  AND  SHAREHOLDERS'  EQUITY                          2000 (Baht)  1999 (Baht)       2000 (Baht)       1999 (Baht)
Current  liabilities
    Bank overdrafts and loans from financial institutions
                         (Note 10 )                               2,747,776.49        330,713.62      2,747,776.49        330,713.62
    Trade accounts and notes payable                            152,897,366.96    151,821,909.54    161,075,291.31    142,853,449.91
    Short-term loans from related parties  (Note 11)             10,000,000.00      4,000,000.00                 -                 -
    Other current liabilities
         Accrued income tax                                      25,566,578.24     13,049,624.04     25,566,578.24     13,049,624.04
         Accrued expenses                                        39,652,219.16     52,429,091.65     37,187,203.12     53,097,601.32
         Accrued royalty                                         12,650,289.17     11,211,416.84     12,650,289.17     11,211,416.84
         Others                                                   9,016,340.34      4,401,241.42      9,016,340.34      4,401,241.42
    Total current liabilities                                   252,530,570.36    237,243,997.11    248,243,478.67    224,944,047.15
Debenture                                           (Note 12)    300,000,000.00    300,000,000.00    300,000,000.00    300,000,000.00
Other  liabilities                                                 1,253,095.46      1,593,226.34      1,253,095.46      1,531,711.34
Total liabilities                                                553,783,665.82    538,837,223.45    549,496,574.13    526,475,758.49
Shareholders'  equity
    Share capital
   Authorized share capital, common shares 12,000,000 shares
              Par value Baht 10.00 per share                    120,000,000.00    120,000,000.00    120,000,000.00    120,000,000.00
         Issued and paid-up  share capital                      120,000,000.00    120,000,000.00    120,000,000.00    120,000,000.00
    Premium on share capital                                    181,125,000.00    181,125,000.00    181,125,000.00    181,125,000.00
    Retained earnings
         Appropriated
            Legal reserve                                        12,000,000.00     12,000,000.00     12,000,000.00     12,000,000.00
            General reserve                                      31,200,000.00     26,200,000.00     31,200,000.00     26,200,000.00
         Unappropriated                                         752,166,979.32    558,405,371.18    753,992,468.45    560,230,860.31
    Minority interest                                                   433.88            239.62                 -                 -
    Unrealized gain for marketable securities                    56,119,801.01     19,715,165.23     56,119,801.01     19,715,165.23
    Total shareholders'  equity                               1,152,612,214.21    917,445,776.03  1,154,437,269.46    919,271,025.54
Total  Liabilities  and  Shareholders' equity                  1,706,395,880.03  1,456,282,999.48  1,703,933,843.59  1,445,746,784.03
   Notes to the financial statements are part of all the financial statements.
   
                              Thanulux  Public  Company  Limited  and  Subsidiaries
                                             Income  Statement
                                     For the year ended December 31,
                            .
                                                    Consolidated                    The company only
Revenues                                       2000 (Baht)  1999 (Baht)       2000 (Baht)       1999 (Baht)
    Sales                                1,612,710,304.93  1,227,323,492.95  1,594,253,109.01  1,215,829,920.75
    Other income
         Licensing income                   11,020,220.71     10,050,047.70     11,020,220.71     10,050,047.70
         Interest income                    16,301,151.22     17,247,429.54     21,084,034.04     22,892,366.71
         Profit on exchanges                20,116,613.71     13,837,181.71     17,827,007.47     13,471,307.26
         Consulting fee                     64,014,382.91     53,801,552.97     64,014,382.91     53,801,552.97
         Others                             42,790,867.15     32,888,313.41     43,742,211.52     35,197,984.49
Total revenues                            1,766,953,540.63  1,355,148,018.28  1,751,940,965.66  1,351,243,179.88
Operating  expenses
    Cost  of  sales                      1,188,346,277.85    947,165,009.77  1,189,827,946.68    942,550,485.16
    Selling and administrative expenses    188,353,091.92    171,452,160.58    181,977,196.18    169,007,163.16
    Loss on exchanges                        8,170,601.53      9,215,390.78      8,116,180.31      9,215,390.78
    Interest expenses                       25,394,617.13     20,670,660.73     25,086,441.04     19,572,612.79
    Licensing expenses                      50,216,948.62     40,951,881.11     50,216,948.62     40,951,881.11
    Directors' remuneration                  3,863,000.00      2,640,000.00      3,863,000.00      2,640,000.00
    Loss from impairment of assets          14,329,932.46     17,743,162.85     14,287,332.46     17,726,600.35
    Other expenses                             494,463.72     16,848,840.55        494,463.72     16,848,840.55
Total operating expenses                  1,479,168,933.23  1,226,687,106.37  1,473,869,509.01  1,218,512,973.90
Profit  before income tax                   287,784,607.40    128,460,911.91    278,071,456.65    132,730,205.98
Income tax                                   47,022,805.00     14,912,799.00     47,022,805.00     14,912,799.00
Profit  before realization sharing from Subsidiary company
    and Related company                    240,761,802.40    113,548,112.91    231,048,651.65    117,817,406.98
Add  Profit (loss) sharing from Subsidiary company and
   Related company                                      -     (2,828,119.79)     9,712,956.49     (7,097,328.47)
Net profit from operating                   240,761,802.40    110,719,993.12    240,761,608.14    110,720,078.51
Add Profit (loss) of minor Portion                 (194.26)            85.39                 -                 -
Net profit                                  240,761,608.14    110,720,078.51    240,761,608.14    110,720,078.51
Earnings  per  share                                 20.06              9.23             20.06              9.23
   Notes to the financial statements are part of all the financial statements.
   
                            Thanulux  Public  Company  Limited  and  Subsidiaries
                                       Retained  Earnings  Statement
                                      For the year ended December 31,
                               
                                                   Consolidated                  The company only
                                              2000 (Baht)  1999 (Baht)     2000 (Baht)     1999 (Baht)
Unappropriated  retained earnings :
    Beginning balance                      558,405,371.18  477,685,292.67  560,230,860.31  479,510,781.80
    Less  Appropriations  :
       General  reserve                      5,000,000.00               -    5,000,000.00
       Dividends paid                       42,000,000.00   30,000,000.00   42,000,000.00   30,000,000.00
    Net profit  for the year               240,761,608.14  110,720,078.51  240,761,608.14  110,720,078.51
   Unappropriated  retained earnings       752,166,979.32  558,405,371.18  753,992,468.45  560,230,860.31
Appropriated  retained earnings  :
    Legal  reserve                          12,000,000.00   12,000,000.00   12,000,000.00   12,000,000.00
    General  reserve                        31,200,000.00   26,200,000.00   31,200,000.00   26,200,000.00
    Total appropriated  retained earnings   43,200,000.00   38,200,000.00   43,200,000.00   38,200,000.00
Total retained earnings                     795,366,979.32  596,605,371.18  797,192,468.45  598,430,860.31
   Notes to the financial statements are part of all the financial statements.
                  
                        Thanulux  Public  Company  Limited  and  Subsidiaries
                           Changes  in  Shareholders'  Equity  Statement
                                    For the year ended December 31,
                                      
                                            Consolidated                  The company only
                                      2000 (Baht)  1999 (Baht)     2000 (Baht)       1999 (Baht)
Share capital
    Common shares
         Beginning balance         120,000,000.00  120,000,000.00    120,000,000.00  120,000,000.00
         Ending balance            120,000,000.00  120,000,000.00    120,000,000.00  120,000,000.00
Paid-in capital
    Premium on share capital
         Beginning balance         181,125,000.00  181,125,000.00    181,125,000.00  181,125,000.00
         Ending balance            181,125,000.00  181,125,000.00    181,125,000.00  181,125,000.00
Retained earnings
    Appropriated
         Legal reserve
              Beginning balance     12,000,000.00   12,000,000.00     12,000,000.00   12,000,000.00
              Ending balance        12,000,000.00   12,000,000.00     12,000,000.00   12,000,000.00
         General reserve
              Beginning balance     26,200,000.00   26,200,000.00     26,200,000.00   26,200,000.00
              Increase               5,000,000.00               -      5,000,000.00               -
              Ending balance        31,200,000.00   26,200,000.00     31,200,000.00   26,200,000.00
    Unappropriated
         Beginning balance         558,405,371.18  477,685,292.67    560,230,860.31  479,510,781.80
         Increase                  240,761,608.14  110,720,078.51    240,761,608.14  110,720,078.51
         Decrease                   47,000,000.00   30,000,000.00     47,000,000.00   30,000,000.00
         Ending balance            752,166,979.32  558,405,371.18    753,992,468.45  560,230,860.31
    Minority interest
         Beginning balance                 239.62          325.01                 -               -
         Increase                          194.26               -                 -               -
         Decrease                               -           85.39                 -               -
         Ending balance                    433.88          239.62                 -               -
Unrealized gain for marketable securities
         Beginning balance                      -               -                 -               -
         Increase                   56,119,801.01   19,715,165.23     56,119,801.01   19,715,165.23
         Decrease                               -               -                 -               -
         Ending balance             56,119,801.01   19,715,165.23     56,119,801.01   19,715,165.23
Total shareholders' equity        1,152,612,214.21  917,445,776.03  1,154,437,269.46  919,271,025.54
   Notes to the financial statements are part of all the financial statements.
   
                            Thanulux  Public  Company  Limited  and  Subsidiaries
                                               Cash  Flow  Statement
                                           For the year ended December 31,
                                                                    
                                                                        Consolidated                    The company only
                                                                   2000 (Baht)  1999 (Baht)       2000 (Baht)       1999 (Baht)
Cash flows from operating activities
    Net profit (loss)                                           240,761,608.14    110,720,078.51    240,761,608.14    110,720,078.51
    Add (less) adjustments
    Profit of minor portion                                             194.26            (85.39)                -                 -
    Depreciation and amortization                                49,365,952.49     55,190,208.59     43,326,942.09     44,595,384.65
    Profit (loss) sharing from Subsidiary company and
          Related company                                                    -      2,828,119.79     (9,712,956.49)     7,097,328.47
    Loss from investment                                                     -        900,000.00                 -        900,000.00
    Loss from impairment of assets                               14,329,932.46     17,743,162.85     14,287,332.46     17,726,600.35
    (Profit) Loss from disposal of fixed assets                  (1,658,181.97)       (88,029.04)    (1,653,816.05)       (89,477.78)
    (Profit) Loss from disposal of securities                       137,267.50     14,941,919.42        149,580.00     14,941,919.42
    Trade accounts and notes receivable (increase) decrease     (68,725,271.52)   (55,796,821.37)   (74,850,468.87)   (52,165,571.02)
    Inventories (increase) decrease                             (80,940,344.31)    22,581,860.70    (84,087,702.24)    24,315,497.92
    Current assets (increase) decrease                           15,080,985.68    (18,476,027.59)    15,363,743.21    (18,168,753.09)
    Other liabilities increase (decrease)                          (340,130.88)       543,286.12       (278,615.88)       481,771.12
    Trade accounts and notes payable increase (decrease)          1,075,457.42     10,820,392.90     18,221,841.40     (4,521,920.44)
    Accrued income tax  increase (decrease)                      12,516,954.20     13,049,624.04     12,516,954.20     13,049,624.04
    Other current liabilities increase (decrease)                (6,722,901.24)    38,061,670.14     (9,856,426.95)    38,625,444.06
Net cash provided by operating activities                        174,881,522.23    213,019,359.67    164,188,015.02    197,507,926.21
Cash flows from investing activities
    Fixed deposit (increase) decrease                             7,428,822.73   (165,000,000.00)     7,428,822.73   (165,000,000.00)
    Short-term loans (increase) decrease
       - Related parties                                         24,000,000.00     50,500,000.00     40,700,000.00     57,434,692.50
    Loans to employees (increase) decrease                            6,900.00          7,250.00          6,900.00          7,250.00
    Acquisition of securities - (increase) decrease
       - Related parties                                        (69,996,437.99)   (70,392,422.92)   (69,996,437.99)   (70,325,222.92)
       - Others                                                 (44,484,276.00)   (20,112,972.50)   (44,484,276.00)   (20,096,410.00)
    Acquisition of fixed assets                                 (55,464,331.63)   (47,596,105.22)   (54,740,463.37)   (46,855,726.19)
    Disposal of fixed assets                                      3,268,255.43      1,796,341.44      3,268,255.43      1,796,341.44
    Disposal of securities - (increase) decrease
       - Related parties                                                     -     39,109,789.24                 -     39,109,789.24
       - Others                                                   1,313,062.50         16,562.50      1,300,750.00         16,562.50
    Other assets (increase)  decrease                              (623,155.56)    (5,384,410.66)      (473,770.00)    (4,894,216.17)
Net cash used in investing activities                           (134,551,160.52)  (217,055,968.12)  (116,990,219.20)  (208,806,939.60)
   
                                 Thanulux  Public  Company  Limited  and  Subsidiaries
                                                  Cash  Flow  Statement
                                             For the year ended December 31,
                                                                    
                                                                       Consolidated                    The company only
                                                                   2000 (Baht)  1999 (Baht)       2000 (Baht)       1999 (Baht)
Cash flows from financing activities
    Bank overdrafts and loans from financial institutions
       increase (decrease)                                        2,417,062.87   (199,956,498.94)     2,417,062.87   (199,703,498.94)
    Short - term loans - Related parties increase (decrease)      6,000,000.00    (21,488,519.66)                -    (12,488,519.66)
    Long-term liabilities  increase (decrease)                               -    (12,600,000.00)                -    (12,600,000.00)
    Debenture                                                                -    300,000,000.00                 -    300,000,000.00
    Dividend payments                                           (42,000,000.00)   (30,000,000.00)   (42,000,000.00)   (30,000,000.00)
Net cash provided by financing activities                        (33,582,937.13)    35,954,981.40    (39,582,937.13)    45,207,981.40
Net increase (decrease) in cash                                    6,747,424.58     31,918,372.95      7,614,858.69     33,908,968.01
Cash at beginning of year                                         53,548,469.40     21,630,096.45     50,677,393.02     16,768,425.01
Cash at end of year                                               60,295,893.98     53,548,469.40     58,292,251.71     50,677,393.02
   Notes to the financial statements are part of all the financial statements.
   
Supplemental disclosures of cash flow information :
Cash payment during the year
       Interest payment  31,249,125.12   16,321,291.12   25,977,341.59      9,827,373.01
       Income tax                34,505,920.32    1,863,115.95   34,505,850.80      1,863,174.96