Page 233 - Profile's Stock Exchange Handbook - 2021 issue 1
P. 233
Profile’s Stock Exchange Handbook: 2021 – Issue 1 JSE – SUN
the United Kingdom. Its principal operating activities include supply chain
Sun International Ltd. management, dealerships and fleet management activities.
SUN SECTOR: Ind—Ind Goods&Srvcs—Ind Transportation—Trans Srvcs
ISIN: ZAE000097580 SHORT: SUNINT CODE: SUI NUMBER OF EMPLOYEES: 12 289
REG NO: 1967/007528/06 FOUNDED: 1984 LISTED: 1984 DIRECTORS: CathrallDI(ind ne), Chitalu V (ind ne),
NATURE OF BUSINESS: The Sun International group has interests in, and Mehlomakulu S (ind ne), Mnisi P (ind ne), Vallet P (Chair, ind ne),
provides management services to businesses in the hotel, resort, casino Mountford P (CEO), Brown C (CFO)
andgambling industry. MAJOR ORDINARY SHAREHOLDERS as at 09 Dec 2020
SECTOR: Consumer Srvcs—Travel&Leis—Travel&Leis—Gambling Allan Gray Ltd. 16.05%
NUMBER OF EMPLOYEES: 14 706 Old Mutual Ltd. 15.00%
DIRECTORS: Bacon P (ind ne, UK), Cibie E (ind ne), Government Employees Pension Fund 13.04%
DempsterGW(ld ind ne), HenryCM(ind ne), KhanyileVP(ind ne), POSTAL ADDRESS: Private Bag X9973, Sandton, 2146
Mabaso-KoyanaSN(ind ne), Makgabo-FiskerstrandBLM(ind ne), MORE INFO: www.sharedata.co.za/sdo/jse/SPG
Ngara T (ne), Sithole S (ne), ZatuZP(ind ne), Mabuza J A (Chair, COMPANY SECRETARY: John Mackay
ind ne), Leeming A M (CEO), Basthdaw N (CFO) TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.
MAJOR ORDINARY SHAREHOLDERS as at 12 Oct 2020
Alan Gray (Pty) Ltd. 11.15% SPONSOR: Investec Bank Ltd.
Value Capital Partners 10.74% AUDITORS: KPMG Inc.
PSG Konsult 10.26% CAPITAL STRUCTURE AUTHORISED ISSUED
POSTAL ADDRESS: PO Box 782121, Sandton, 2146 SPG Ords no par 700 000 000 371 507 794
MORE INFO: www.sharedata.co.za/sdo/jse/SUI DISTRIBUTIONS [ZARc]
COMPANY SECRETARY: A G Johnston Ords no par Ldt Pay Amt
TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd. Final No 11 20 Sep 07 1 Oct 07 400.00
SPONSOR: Investec Bank Ltd. Final No 10 13 Oct 06 23 Oct 06 400.00
AUDITORS: PwC Inc.
LIQUIDITY: Jan21 Ave 3m shares p.w., R68.6m(43.4% p.a.)
CAPITAL STRUCTURE AUTHORISED ISSUED
SUI Ords no par - 263 905 660 INDT 40 Week MA SUPRGRP
DISTRIBUTIONS [ZARc] 6610
Ords no par Ldt Pay Amt
Final No 43 13 Sep 16 19 Sep 16 135.00 5545
Interim No 42 11 Mar 16 22 Mar 16 90.00
4480
LIQUIDITY: Jan21 Ave 1m shares p.w., R28.5m(26.5% p.a.)
3415
TRAV 40 Week MA SUNINT
2350
10705
1285
8730 2016 | 2017 | 2018 | 2019 | 2020 |
6756 FINANCIAL STATISTICS
(R million) Jun 20 Jun 19 Jun 18 Jun 17 Jun 16
4782 Final Final(rst) Final Final(rst) Final
Turnover 34 578 37 862 35 663 29 874 25 949
2807
Op Inc 1 578 2 674 2 436 2 116 1 952
NetIntPd(Rcvd) 581 347 330 280 255
833
2016 | 2017 | 2018 | 2019 | 2020 |
Minority Int 27 315 341 340 273
FINANCIAL STATISTICS Att Inc - 188 1 308 1 152 993 986
(R million) Jun 20 Dec 19 Dec 18 Dec 17 Dec 16 TotCompIncLoss 1 096 1 560 1 783 903 1 707
Interim Final Final(rst) Final(rst) Final(rst) Fixed Ass 6 756 6 077 6 867 5 980 4 719
Revenue 2 539 17 232 16 614 15 351 7 700 Inv & Loans 608 373 272 104 125
Op Inc - 1 652 2 700 2 260 2 160 877 Tot Curr Ass 14 462 13 810 12 624 10 314 9 935
NetIntPd(Rcvd) 555 1 159 1 178 1 054 522 Ord SH Int 11 212 11 009 9 798 8 356 7 614
Minority Int - 401 358 231 - 235 Minority Int 1 815 1 604 1 579 1 500 1 688
Att Inc - 1 427 653 - 7 - 243 248 LT Liab 10 576 6 280 6 246 6 121 5 766
TotCompIncLoss - 959 888 558 - 14 13 Tot Curr Liab 12 286 11 388 10 924 8 897 7 730
Fixed Ass 9 311 16 884 17 155 18 196 17 329 PER SHARE STATISTICS (cents per share)
Inv & Loans 390 289 278 214 24 HEPS-C (ZARc) 151.20 373.80 332.20 288.20 292.60
Tot Curr Ass 11 467 2 865 3 420 2 369 2 765
NAV PS (ZARc) 3 037.00 3 036.50 2 704.60 2 394.10 2 196.40
Ord SH Int 1 717 2 621 2 478 - 2 593 - 2 272 3 Yr Beta 1.13 0.26 0.39 0.62 0.56
Minority Int 1 442 1 614 1 808 2 899 2 936 Price High 3 455 4 183 4 670 4 450 4 450
LT Liab 10 354 13 972 13 375 18 532 17 118 Price Low 1 119 3 156 3 300 3 324 2 881
Tot Curr Liab 9 478 5 417 6 635 5 598 6 283 Price Prd End 1 600 3 289 3 504 3 690 3 935
PER SHARE STATISTICS (cents per share) RATIOS
HEPS-C (ZARc) - 103.00 619.00 281.00 7.00 295.00 Ret on SH Fnd - 1.24 12.86 13.12 13.52 13.53
NAV PS (ZARc) 2 500.00 2 077.77 3 130.00 280.00 2 145.00 Oper Pft Mgn 4.56 7.06 6.83 7.08 7.52
3 Yr Beta 1.39 - 0.04 - 0.03 0.85 0.74 D:E 0.88 0.57 0.64 0.74 0.72
Price High 4 292 6 489 6 983 9 131 9 599 Current Ratio 1.18 1.21 1.16 1.16 1.29
Price Low 800 3 505 5 001 4 600 7 249
Price Prd End 1 680 3 990 6 300 6 046 8 700 Sygnia Ltd.
RATIOS
SYG
Ret on SH Fnd - 90.35 24.89 8.19 - 3.92 3.92 ISIN: ZAE000208815 SHORT: SYGNIA CODE: SYG
Oper Pft Mgn - 65.06 15.67 13.60 14.07 11.39 REG NO: 2007/025416/06 FOUNDED: 2015 LISTED: 2015
D:E 4.18 3.96 4.08 71.21 31.48 NATURE OF BUSINESS: Sygnia Ltd. and its subsidiaries (the Group) is a
Current Ratio 1.21 0.53 0.52 0.42 0.44 specialist financial services group headquartered in South Africa and listed
on the Johannesburg Stock Exchange (JSE ) and A2X Markets. The Group
focuses on the provision of investment management, savings products and
Super Group Ltd. administration solutions to institutional and retail clients predominantly
located in South Africa. The main services provided by the Group include
SUP
ISIN: ZAE000161832 SHORT: SUPRGRP CODE: SPG multi-manager investment products, index-tracking investment products,
REG NO: 1943/016107/06 FOUNDED: 1986 LISTED: 1996 customised/bespoke investment strategy management, stockbroking,
NATURE OF BUSINESS: Super Group, the holding company of the Group, transition management, investment administration/platformservices and
is a company listed on the Main Board of the JSE in the “Industrial employee benefit administration services.
Transportation” sector, incorporated and domiciled in the Republic of SECTOR: Fins—Financial Srvcs—Gen Financial—Asset Managers
South Africa. Super Group is a broad-based supply chain management NUMBER OF EMPLOYEES: 106
business, operating predominantly in South Africa, with operations across
sub-Saharan Africa and businesses in Australia, Europe, New Zealand and
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