SUNSHINE HOLDINGS PLC

Annual Report 2021/22

Financial Reports

STATEMENT OF CHANGES IN EQUITY

Attributable to owners of the Company Total
Rs.
Non-controlling interests
Rs.
Total equity
Rs.
For the year ended 31 March Note Stated capital
Rs.
General reserve
Rs.
Reserve on exchange gain/(loss)
Rs.
Fair value reserve Rs. Retained earnings Rs.
Group
Balance as at 1 April 2020 1,641,715,247 1,257,725 3,131,942 353,928,208 6,414,107,233 8,414,140,355 4,035,566,113 12,449,706,468
Total comprehensive income
Profit for the year 1,522,207,103 1,522,207,103 1,015,320,898 2,537,528,001
Total other comprehensive income for the year 1,092,211 (19,723,836) (25,212,340) (43,843,965) 5,873,633 (37,970,332)
Total comprehensive income for the year 1,092,211 (19,723,836) 1,496,994,763 1,478,363,138 1,021,194,531 2,499,557,669
Transactions with owners of the Company
Issue of shares to NCI of Sunshine Wilmar (Pvt) Ltd. 1,520,750,002 1,520,750,002
Impact on loss of effective shareholding in Watawala Planations PLC Group (352,071,099) (352,071,099) 352,071,099
Acquisition of NCI in Estate Management Services (Pvt) Ltd. (307,579,587) (307,579,587) (2,595,484,445) (2,903,064,032)
Impact on gaining effective shareholding in Sunshine Consumer Lanka Ltd.
Group (formerly known as “Watawala Tea Ceylon Limited Group”)
522,016,592 522,016,592 (522,016,592)
Acquisition through business Combination 131,339,319 131,339,319
Impact of loss effective shareholding of 25% in Sunshine Healthcare Lanka Ltd. 928,404,876 928,404,876 1,391,844,424 2,320,249,300
Impact of disposal of 3% Shares held in Sunshine Healthcare Lanka Ltd. 111,408,585 111,408,585 167,021,331 278,429,916
Dividend paid to owners for 2019/20 (261,719,680) (261,719,680) (693,429,539) (955,149,219)
640,459,687 640,459,687 (247,904,401) 392,555,286
Balance as at 31 March 2021 1,641,715,247 1,257,725 4,224,153 334,204,372 8,551,561,683 10,532,963,180 4,808,856,243 15,341,819,423
Balance as at 1 April 2021 1,641,715,247 1,257,725 4,224,153 334,204,372 8,551,561,683 10,532,963,180 4,808,856,243 15,341,819,423
Total comprehensive income
Profit for the year 2,720,742,972 2,720,742,972 2,275,929,110 4,996,672,082
Total other comprehensive income for the year (65,125,525) 96,546,412 31,420,887 38,957,568 70,378,455
Total comprehensive income for the year (65,125,525) 2,817,289,384 2,752,163,859 2,314,886,678 5,067,050,537
Transactions with owners of the company
Disposal of NCI – Waltrim Energy Ltd. (345,322,392) (345,322,392)
Impact on loss of effective shareholding of 4.12% in Watawala Dairy Ltd. 267,098,594 267,098,594 88,841,406 355,940,000
Acquisition of NCI in Sunshine Energy (Private) Limited (125,868,935) (125,868,935) (274,131,065) (400,000,000)
Advance received to issue shares 10,000,000 10,000,000
Dividend paid to owners for 2020/21 (448,662,310) (448,662,310) (1,152,894,605) (1,601,556,914)
(307,432,650) (307,432,650) (1,673,506,656) (1,980,939,306)
Balance as at 31 March 2022 1,641,715,247 1,257,725 4,224,153 269,078,847 11,061,418,417 12,977,694,389 5,450,236,264 18,427,930,653

For the year ended 31 March 2021 Note Stated capital
Rs.
General reserve
Rs.
Fair value reserve
Rs.
Retained profit restated*
Rs.
Total restated*
Rs.
Company
Balance as at 1 April 2020 1,641,715,247 1,257,725 349,848,758 3,398,264,199 5,391,085,929
Transfer through Amalgamation SEL – Retained earnings 11,957,724 11,957,724
Set-off stated capital of SEL against investment in SEL in Sunshine Holdings PLC 339,301,495 339,301,495
Balance as at 1 April 2020 (Restated) 1,641,715,247 1,257,725 349,848,758 3,749,523,418 5,742,345,148
Total comprehensive income for the year – Restated
Profit for the year 2,906,075,550 2,906,075,550
Total other comprehensive income for the year (19,723,836) 4,341,942 (15,381,894)
Total comprehensive income for the year (19,723,836) 2,910,417,492 2,890,693,656
Set-off of acquisition of 40% of non-controlling interest in EMSPL
against the investment made during the year
(2,903,064,032) (2,903,064,032)
Dividend Paid to owners – 2019/20 and 2020/21 (261,719,680) (261,719,680)
Balance as at 31 March 2021 1,641,715,247 1,257,725 330,124,922 3,495,157,198 5,468,255,092
Balance as at 1 April 2021 1,641,715,247 1,257,725 330,124,922 3,495,157,198 5,468,255,092
Total comprehensive income for the year
Profit for the year 1,022,832,262 1,022,832,262
Total other comprehensive income for the year (65,125,525) 25,483,126 (39,642,399)
Total comprehensive income for the year (65,125,525) 1,048,315,388 983,189,863
Set-off of acquisition of 30% of non-controlling interest in
SEL against the investment made during the year
(400,000,000) (400,000,000)
Dividend paid to owners – 2019/20 and 2020/21 (448,662,310) (448,662,310)
Balance as at 31 March 2022 1,641,715,247 1,257,725 264,999,397 3,694,810,277 5,602,782,646

* The balances presented represent the restated balances for the year ended 31 March 2021 to reflect the adjustments made as if the amalgamation between the Company and Sunshine Energy (Pvt) Limited, took place on 1 April 2020. Refer Note 46.

Figures in brackets indicate deductions.

The Accounting Policies and Notes from page 65 to 179 are an integral part of these Financial Statements.

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