ข่าวแจ้งตลาดหลักทรัพย์
26 กุมภาพันธ์ 2544
ANNUAL CONSOLIDATED FINANCIAL STATEMENTS ENDED 31 DEC 2000
AUDITORS
REPORT
To the Shareholders of Berli Jucker Public Company Limited
I have audited the accompanying consolidated and company balance sheet of Berli Jucker Public Company
Limited as at 31 December 2000, and the related consolidated and company statements of income, changes in
shareholders equity, retained earnings, and cash flows for the year then ended. These financial statements are
the responsibility of the companys management. My responsibility is to express an opinion on these financial
statements based on my audit. The consolidated and company financial statements of Berli Jucker Public
Company Limited for the year ended 31 December 1999, presented herein for comparative purpose, were
audited by another independent auditor, whose report dated 23 February 2000, expressed an unqualified
opinion thereon.
I conducted my audit in accordance with generally accepted auditing standards. Those standards require that I
plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of
material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and
disclosures in the financial statements. An audit also includes assessing the accounting principles used and
significant estimates made by management, as well as evaluating the overall financial statement presentation.
I believe that my audit provides a reasonable basis for my opinion.
In my opinion, the aforementioned financial statements present fairly, in all material respects, the financial
position of the consolidated and company as at 31 December 2000 and the results of its operations, and its
cash flows for the years then ended in accordance with generally accepted accounting principles.
ANOTHAI LEEKITWATTANA
Certified Public Accountant
(Thailand) No. 3442
PricewaterhouseCoopers ABAS Limited
Bangkok
9 February 2001
Consolidated Company
Notes 2000 1999 2000 1999
Baht Baht Baht Baht
ASSETS
Current Assets
Cash on hand and at banks 3 190,963,457 474,078,490 62,632,849 373,044,654
Short-term investments
Deposits with financial institutions 395,239,275 669,455,843 - -
Bills of exchange - 800,000,000 - 800,000,000
Marketable equity securities, net 4 14,500 19,607 14,500 19,607
Trade accounts and notes receivable, net 5 2,405,893,194 2,951,664,505 1,191,774,107 1,185,891,488
Lease receivable from a related party - - - 31,500,000
Inventories, net 6 1,786,573,132 1,541,810,377 476,091,410 433,297,432
Short-term loans and advances to related
parties 26 160,925,541 167,323,502 2,088,537,834 966,728,817
Other current assets
Deferred income tax -current 121,883,487 134,517,754 76,546,296 103,722,415
Accrued income 48,744,920 30,757,933 67,641,548 104,383,329
Others 167,080,495 174,927,608 61,282,823 62,210,985
Total Current Assets 5,277,318,001 6,944,555,619 4,024,521,367 4,060,798,727
Non-Current Assets
Investments in subsidiaries and associates 7 108,586,269 75,186,424 4,456,293,410 5,546,718,128
Long-term investments, net 8 220,915,579 220,915,579 220,015,579 220,865,579
Deferred tax assets - - 121,179,678 128,592,668
Property, plant and equipment, net 9 6,474,552,898 6,963,460,501 751,036,836 810,632,136
Other assets
Terminated currency swap receivable 12 455,430,000 455,430,000 455,430,000 455,430,000
Others 10 93,900,080 64,074,436 4,826,528 6,508,114
Total Non-Current Assets 7,353,384,826 7,779,066,940 6,008,782,031 7,168,746,625
TOTAL ASSETS 12,630,702,827 14,723,622,559 10,033,303,398 11,229,545,352
Director Director
The notes to the consolidated and company financial statements on pages 8 to 36 form an integral part of these financial statements.
Consolidated Company
Notes 2000 1999 2000 1999
Baht Baht Baht Baht
LIABILITIES AND
SHAREHOLDERS EQUITY
Current Liabilities
Bank overdrafts 52,226,125 44,718,060 3,696,530 886,735
Loans from financial institutions 11 3,138,355,330 328,000,000 2,711,970,000 -
Trade accounts and notes payable 1,256,763,910 1,556,885,338 385,146,270 432,427,124
Trade accounts payable related parties 56,165,044 - 314,191,662 179,047,334
Current portion of long-term borrowings 12 131,374,446 118,211,627 - -
Short-term loans and advance from related
parties
26 17,248,700 17,263,088 80,827,023 22,504,742
Other current liabilities
Accrued expenses 406,998,528 550,051,037 160,194,284 133,571,638
Deferred income 70,741,595 55,307,995 70,741,595 54,245,222
Others 13 200,197,809 465,572,658 91,678,036 196,653,545
Total Current Liabilities 5,330,071,487 3,136,009,803 3,818,445,400 1,019,336,340
Non-Current Liabilities
Advances from employees 3,225,485 5,581,930 3,002,465 5,553,190
Long-term borrowings 12 393,788,893 2,580,125,616 - 1,940,839,388
Deferred tax liabilities 286,762,373 294,822,504 - -
Other liabilities
Long-term lease deferred income 111,787,089 117,396,422 111,787,089 117,396,422
Staff retirement benefits 216,714,441 222,963,047 93,253,770 99,817,837
Others 12,627,903 13,872,548 15,600,463 52,459,419
Total Non-Current Liabilities 1,024,906,184 3,234,762,067 223,643,787 2,216,066,256
Total Liabilities 6,354,977,671 6,370,771,870 4,042,089,187 3,235,402,596
Shareholders Equity
Share capital 14
Registered share capital 1,588,125,000 1,588,125,000 1,588,125,000 1,588,125,000
Issued and paid-up share capital 1,588,125,000 1,588,125,000 1,588,125,000 1,588,125,000
Capital surplus 14
Premium on share capital 3,751,379,641 3,751,379,641 3,751,379,641 3,751,379,641
Donated surplus 36,867,563 36,867,563 36,867,563 36,867,563
Retained earnings
Appropriated
Legal reserve 15 249,163,470 218,743,245 158,812,500 158,812,500
Reserve for business expansion 87,400,944 87,400,944 85,000,000 85,000,000
Unappropriated 285,567,760 2,420,412,203 378,319,674 2,482,743,892
Translation adjustment of foreign currency
financial statements (7,290,167) (108,785,840) (7,290,167) (108,785,840)
Minority interests 16 284,510,945 358,707,933 - -
Total Shareholders Equity 6,275,725,156 8,352,850,689 5,991,214,211 7,994,142,756
TOTAL LIABILITIES AND SHAREHOLDERS
EQUITY 12,630,702,827 14,723,622,559 10,033,303,398 11,229,545,352
The notes to the consolidated and company financial statements on pages 8 to 36 form an integral part of these financial statements.
Consolidated Company
Notes 2000 1999 2000 1999
Baht Baht Baht Baht
Revenues
Sales 11,497,119,281 11,131,770,047 4,883,039,821 5,276,543,486
Other income
Interest income 55,023,152 86,813,074 166,071,032 135,785,464
Gain (loss) on foreign exchange 28,551,971 16,273,023 2,188,801 (3,355,668)
Gain (loss) on disposal of investments 46,637,799 (2,532,954) (3,888,426) (2,532,954)
Reverse provision on suspended
business segment 77,000,000 - - -
Insurance claim 35,152,381 - - -
Others 17 75,668,334 56,269,971 129,345,175 200,340,178
Total revenues 11,815,152,918 11,288,593,161 5,176,756,403 5,606,780,506
Expenses
Cost of sales 8,902,515,914 8,121,684,406 3,861,157,173 4,180,488,647
Selling and administrative expenses 1,951,913,928 1,757,465,629 920,054,909 861,531,886
Interest expense 169,287,299 253,540,645 98,399,010 154,758,584
Directors remuneration 4,560,656 4,183,333 4,360,656 3,783,333
Other operating expenses
Currency swap cost 71,385,915 132,335,465 71,385,915 131,235,465
Other financing expense 5,174,745 27,132,504 5,174,745 27,132,504
Total expenses 11,104,838,457 10,296,341,982 4,960,532,408 5,358,930,419
Operating profit 710,314,461 992,251,179 216,223,995 247,850,087
Share of profits/losses of subsidiaries and
associates 251,277 12,365,681 376,572,281 488,434,458
Profit before tax 710,565,738 1,004,616,860 592,796,276 736,284,545
Income tax 18 148,493,385 287,469,610 57,548,469 43,174,807
Profit before minority interests 562,072,353 717,147,250 535,247,807 693,109,738
Share of profit in subsidiaries to minority
interests (26,824,546) (24,037,512) - -
Net profit for the year 535,247,807 693,109,738 535,247,807 693,109,738
Basic earnings per share 19
Profit before minority interests 3.54 4.51 3.37 4.36
Share of profit in subsidiaries to minority
interests (0.17) (0.15) - -
Net profit for the year 3.37 4.36 3.37 4.36
The notes to the consolidated and company financial statements on pages 8 to 36 form an integral part of these financial statements.
Consolidated Company
Notes 2000 1999 2000 1999
Baht Baht Baht Baht
Share Capital 14
Beginning balance 1,588,125,000 1,588,125,000 1,588,125,000 1,588,125,000
Increase during the year - - - -
Decrease during the year - - - -
Ending balance 1,588,125,000 1,588,125,000 1,588,125,000 1,588,125,000
Capital surplus
Premium on Share Capital 14
Beginning balance 3,751,379,641 3,751,379,641 3,751,379,641 3,751,379,641
Increase during the year - - - -
Decrease during the year - - - -
Ending balance 3,751,379,641 3,751,379,641 3,751,379,641 3,751,379,641
Donated surplus 14
Beginning balance 36,867,563 36,867,563 36,867,563 36,867,563
Increase during the year - - - -
Decrease during the year - - - -
Ending balance 36,867,563 36,867,563 36,867,563 36,867,563
Retained Earnings
Appropriated retained earnings
Legal reserve 15
Beginning balance 218,743,245 116,873,210 158,812,500 57,750,000
Increase during the year 30,420,225 101,870,035 - 101,062,500
Decrease during the year - - - -
Ending balance 249,163,470 218,743,245 158,812,500 158,812,500
Reserve for business expansion
Beginning balance 87,400,944 87,400,944 85,000,000 85,000,000
Increase during the year - - - -
Decrease during the year - - - -
Ending balance 87,400,944 87,400,944 85,000,000 85,000,000
Unappropriated retained earnings
Beginning balance 2,420,412,203 2,036,926,265 2,482,743,892 2,098,450,419
Increase during the year 535,247,807 693,109,738 535,247,807 693,109,738
Decrease during the year (2,670,092,250) (309,623,800) (2,639,672,025) (308,816,265)
Ending balance 285,567,760 2,420,412,203 378,319,674 2,482,743,892
Translation adjustment of foreign
currency financial statements
Beginning balance (108,785,840) (106,774,931) (108,785,840) (106,774,931)
Increase during the year - (2,010,909) - (2,010,909)
Decrease during the year 101,495,673 - 101,495,673 -
Ending balance (7,290,167) (108,785,840) (7,290,167) (108,785,840)
Minority Interests 16
Beginning balance 358,707,933 435,379,488 - -
Increase during the year 35,725,088 24,037,512 - -
Decrease during the year (109,922,076) (100,709,067) - -
Ending balance 284,510,945 358,707,933 - -
Total 6,275,725,156 8,352,850,689 5,991,214,211 7,994,142,756
The notes to the consolidated and company financial statements on pages 8 to 36 form an integral part of these financial statements.
Consolidated Company
Notes 2000 1999 2000 1999
Baht Baht Baht Baht
Unappropriated retained earnings:
Beginning balance 2,420,412,203 2,036,926,265 2,482,743,892 2,098,450,419
Less: Appropriation
Legal reserve (30,420,225) (101,870,035) - (101,062,500)
Dividends for 1999 and 1998 (127,050,000) (79,406,250) (127,050,000) (79,406,250)
Cost of investment in excess of net assets
of subsidiary and associated companies
eliminated against retained earnings (11,700,000) (48,941,265) (11,700,000) (48,941,265)
Net profit for the year 535,247,807 693,109,738 535,247,807 693,109,738
Less: Dividends for 2000 and 1999 20 (2,500,922,025) (79,406,250) (2,500,922,025) (79,406,250)
Unappropriated retained earnings at end of
the year 285,567,760 2,420,412,203 378,319,674 2,482,743,892
Appropriated retained earnings:
Legal reserve 249,163,470 218,743,245 158,812,500 158,812,500
Reserve for business expansion 87,400,944 87,400,944 85,000,000 85,000,000
Appropriated retained earnings at end of the
year 336,564,414 306,144,189 243,812,500 243,812,500
Retained earnings at end of the year 622,132,174 2,726,556,392 622,132,174 2,726,556,392
The notes to the consolidated and company financial statements on pages 8 to 36 form an integral part of these financial statements
Consolidated Company
Notes 2000 1999 2000 1999
Baht Baht Baht Baht
Cash flows from operating activities 21 1,229,797,201 1,590,987,933 349,740,62 964,189,892
Cash flows from investing activities
Acquisition of subsidiary, net of cash acquired (200,041,498) (16,773,955) (666,697,255) (590,473,956)
Purchases of investments in other companies - (54,800,000) - (54,800,000)
Purchases of property, plant and equipment (697,373,744) (527,077,866) (103,168,289) (110,426,368)
Purchases of marketable equity securities - (19,607) - (19,607)
Deferred charges paid - (2,904,053) - -
Loans and advances to related parties 21,627,440 (35,383,528) (1,066,586,736) (114,432,583)
Proceeds from disposals of investments, net
of cash equivalents disposed in related
companies 97,665,333 19,551,743 50,541,660 131,173,523
Proceeds from disposals of investments, net
of cash equivalents disposed in other
companies - 36,058,750 4,590,000 36,058,750
Proceeds from disposals of property, plant
and equipment 21,309,090 19,659,468 16,770,906 19,127,022
Interest received 44,315,320 72,587,587 153,824,518 122,986,897
Dividend received - 16,624,818 2,167,632,951 98,812,374
Net cash (payments)/receipts from investing
activities (712,498,059) (472,476,643) 556,907,755 (461,993,948)
Cash flows from financing activities
(Decrease)/increase in net long-term borrowings (1,934,004,861) 5,754,852 (1,940,839,388) -
Increase/ (decrease) in short-term borrowings 2,935,355,330 (245,437,066) 2,711,970,000 (73,780,000)
Gain on currency swap contracts received - 2,515,423 - 1,420,000
Currency swap cost paid (68,255,520) (270,378,026) (68,255,520) (131,462,203)
Issue of shares to minority interests 6,855,130 - - -
Dividends paid (2,627,972,025) (158,812,500) (2,627,972,025) (158,812,500)
Dividends paid to minority interests (28,400,552) (11,805,000) - -
Deferred financing charges paid (286,350) (281,625) (286,350) (281,625)
Interest paid (165,429,960) (132,815,303) (94,486,699) (154,419,292)
Net cash payments from financing activities (1,882,138,808) (811,259,245) (2,019,869,982) (517,335,620)
Net (decrease)/increase in cash and cash
equivalents (1,364,839,666) 307,252,045 (1,113,221,600) (15,139,676)
Cash and cash equivalents at beginning
of year 1,898,816,273 1,591,564,228 1,172,157,919 1,187,297,595
Cash and cash equivalents at end of year 533,976,607 1,898,816,273 58,936,319 1,172,157,919
Analysis of cash and cash equivalents
Cash on hand and at banks 190,963,457 474,078,490 62,632,849 373,044,654
Short-term deposits with financial
institutions 395,239,275 669,455,843 - -
Bills of exchange - 800,000,000 - 800,000,000
Bank overdrafts (52,226,125) (44,718,060) (3,696,530) (886,735)
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