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EV RESOURCES LTD — Interim / Quarterly Report 2008
Jan 28, 2008
64887_rns_2008-01-28_ddee1ce5-54ca-42c4-9359-87a18e1e5ca4.pdf
Interim / Quarterly Report
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Rule 4.7B
Appendix 4C
Monthly report for entities admitted on the basis of commitments
Introduced 31/3/2000. Amended 30/9/2001
Name of entity
RICHFIELD GROUP LIMITED
ABN
66 009 144 503
Month ended ("current Month")
31 December 2007
Consolidated statement of cash flows
| Current month | Year to date | ||
|---|---|---|---|
| Cash flows related to operating activities | $\textbf{\$A'}000$ | $(6$ months) | |
| \$A'000 | |||
| 1.1 | Receipts from customers | ||
| 1.2 | Payments for (a) staff costs |
||
| (b) advertising and marketing | |||
| (c) research and development | |||
| (d) leased assets | (2) | ||
| (e) other working capital | (22) | (104) | |
| 1.3 | Dividends received | ||
| 1.4 | Interest and other items of a similar nature | 9 | |
| received | |||
| 1.5 | Interest and other costs of finance paid | ||
| 1.6 | Income taxes paid | ||
| 1.7 | Other (provide details if material) | ||
| - Payment of Creditors | (6) | (31) | |
| (27) | (128) | ||
| Net operating cash flows |
| Current month \$A'000 |
Year to date $($ $6$ months) \$A'000 |
||
|---|---|---|---|
| 1.8 | Net operating cash flows (carried forward) | (27) | (128) |
| 1.9 | Cash flows related to investing activities Payment for acquisition of: |
||
| (a) businesses (item 5) | |||
| (b) equity investments | |||
| (c) intellectual property (d) physical non-current assets |
|||
| (e) other non-current assets | |||
| 1.10 | Proceeds from disposal of: | ||
| businesses (item 5) (a) |
|||
| equity investments (b) |
|||
| intellectual property (c) physical non-current assets (d) |
|||
| other non-current assets (e) |
|||
| 1.11 | Loans to other entities | (18) | (279) |
| 1.12 1.13 |
Loans repaid by other entities Other (provide details if material) |
||
| Net investing cash flows | (18) | (279) | |
| 1.14 | Total operating and investing cash flows | (45) | (407) |
| Cash flows related to financing activities | |||
| 1.15 | Proceeds from issues of shares, options, etc. | 312 | 584 |
| 1.16 | Proceeds from sale of forfeited shares | ||
| 1.17 | Proceeds from borrowings | ||
| 1.18 1.19 |
Repayment of borrowings Dividends paid |
||
| 1.20 | Capital Raising Expenses | (60) | |
| Net financing cash flows | 312 | 524 | |
| Net increase (decrease) in cash held | 267 | 117 | |
| 1.21 | Cash at beginning of Month/year to date | 269 | 419 |
| 1.22 | Exchange rate adjustments to item 1.20 | ||
| 1.23 | Cash at end of month | 536 | 536 |
Payments to directors of the entity and associates of the directors Payments to related entities of the entity and associates of the related entities
| Current month \$A'000 |
||
|---|---|---|
| 1.24 | Aggregate amount of payments to the parties included in item 1.2 | |
| 1.25 | Aggregate amount of loans to the parties included in item 1.11 | - |
| 1.26 | Explanation necessary for an understanding of the transactions |
Non-cash financing and investing activities
Payment of Directors Fees.
- $2.1$ Details of financing and investing transactions which have had a material effect on consolidated assets and liabilities but did not involve cash flows
- $2.2$ Details of outlays made by other entities to establish or increase their share in businesses in which the reporting entity has an interest
$N/A$
$N/A$
Financing facilities available
Add notes as necessary for an understanding of the position. (See AASB 1026 paragraph 12.2).
| Amount available \$A'000 |
Amount used \$A'000 |
||
|---|---|---|---|
| 3.1 | Loan facilities | $\overline{\phantom{a}}$ | |
| 3.2 | Credit standby arrangements | ۰ | $\overline{\phantom{a}}$ |
Reconciliation of cash
| Reconciliation of cash at the end of the month (as shown in the consolidated statement of cash flows) to the related items in the accounts is as follows. |
Current month \$A'000 |
Previous month \$A'000 |
|
|---|---|---|---|
| 4.1 | Cash on hand and at bank | 536 | 269 |
| 4.2 | Deposits at call | ||
| 4.3 | Bank overdraft | ||
| 4.4 | Other (provide details) | ||
| Total: cash at end of month (item 1.23) | 536 | 269 |
Acquisitions and disposals of business entities
| Acquisitions (Item $1.9(a)$ ) |
Disposals (Item $1.10(a)$ ) |
||
|---|---|---|---|
| 5.1 | Name of entity | ||
| 5.2 | Place of incorporation or registration |
||
| 5.3 | Consideration for acquisition or disposal |
||
| 5.4 | Total net assets | ||
| 5.5 | Nature of business | ||
Compliance statement
- This statement has been prepared under accounting policies which comply with accounting $\mathbf{1}$ standards as defined in the Corporations Act (except to the extent that information is not required because of note 2) or other standards acceptable to ASX.
- This statement does give a true and fair view of the matters disclosed. $\overline{2}$
Date: 23 January 2008 Sign here: (Company Secretary)
Print name: Luke Martino
Notes
- The quarterly report provides a basis for informing the market how the entity's activities have $1.$ been financed for the past quarter and the effect on its cash position. An entity wanting to disclose additional information is encouraged to do so, in a note or notes attached to this report.
- The definitions in, and provisions of, AASB 1026: Statement of Cash Flows apply to this 2. report except for the paragraphs of the Standard set out below.
- 6.2 - reconciliation of cash flows arising from operating activities to $\bullet$ operating profit or loss
- 9.2 - itemised disclosure relating to acquisitions
- 9.4 - itemised disclosure relating to disposals $\bullet$
- $12.1(a)$ policy for classification of cash items $\bullet$
- disclosure of restrictions on use of cash 12.3 $\bullet$
- 13.1 - comparative information $\bullet$
-
- Accounting Standards. ASX will accept, for example, the use of International Accounting Standards for foreign entities. If the standards used do not address a topic, the Australian standard on that topic (if any) must be complied with.
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