Page 8 - Q1 2024 EN
P. 8

AL MAZAYA HOLDING COMPANY K.S.C.P. AND ITS SUBSIDIARIES
      INTERIM CONDENSED CONSOLIDATED STATEMENT OF CHANGES IN EQUITY (UNAUDITED)
      FOR THE PERIOD ENDED MARCH 31, 2024
      (All amounts are in Kuwaiti Dinars)



                                                                        Attributable to shareholders of the Parent Company
                                                                                                                Foreign
                                                                                                                currency
                                                                                                               translation
                                                                                                               adjustments
                                                                                                     Foreign   associated with   (Accumulated
                                                                                                    currencies   assets    losses)                Non-
                                       Share     Share    Treasury   Statutory   Fair value   Other   translation   classified as   retained     controlling
                                       capital      premium      shares      reserve      reserve      reserves      adjustments     held for sale       earnings       Sub-total      interests      Total
       Balance as at January 1, 2024      48,474,817     -      (1,151,108)     186,270     (11,645,322)     463,988    5,729,070     -      (1,681,968)     40,375,747     11,055,152     51,430,899
       Profit for the period             -        -          -          -         -         -          -          -         1,260,641     1,260,641     198,819     1,459,460
       Other comprehensive (loss) income for the period     -      -      -      -      (156,200)     -      (660,710)     -      -      (816,910)     7,265     (809,645)
       Total comprehensive (loss) income for the period      -      -      -      -      (156,200)     -      (660,710)     -      1,260,641     443,731     206,084     649,815
       Effect of merging with a subsidiary (Note 3)      4,081,300     -      -      -      -      (463,988)    (4,340,098)     -      10,293,301     9,570,515     (9,570,515)     -
       Purchase of treasury shares       -        -         (707,875)     -       -         -          -          -          -          (707,875)     -      (707,875)
       Disposal of a subsidiary (note 6)      -      -       -          -         -         -          -          -          -          -          (485,989)     (485,989)
       Balance as at March 31, 2024      52,556,117     -      (1,858,983)     186,270     (11,801,522)     -      728,262     -      9,871,974      49,682,118     1,204,732     50,886,850

       Balance as at January 1, 2023      62,955,982     17,921,560     (1,777)     1,632,430     (6,850,132)     463,988     (14,932,065)     123,564     (9,095,362)     52,218,188     10,918,323     63,136,511
       Profit (loss) for the period      -        -          -          -         -         -          -          -          194,816     194,816     (10,806)     184,010
       Other comprehensive (loss) income for the period     -      -      -      -      (1,205,902)     -      (1,735,984)     26,512     -      (2,915,374)     (72,377)     (2,987,751)
       Total comprehensive (loss) income for the period      -      -      -      -      (1,205,902)     -      (1,735,984)     26,512     194,816     (2,720,558)     (83,183)     (2,803,741)
       Setting off accumulated losses (Note 15)      -      (9,095,362)     -      -      -      -      -         -         9,095,362     -        -          -
       Transferred to foreign currency translation
        adjustments relating to assets classified as
        held for sale                    -        -          -          -         -         -         22,109,018     (22,109,018)     -      -      -         -
       Purchase of treasury shares       -        -         (156,471)     -       -         -          -          -          -          (156,471)     -      (156,471)
       Balance as at March 31, 2023      62,955,982     8,826,198     (158,248)     1,632,430     (8,056,034)     463,988     5,440,969     (21,958,942)     194,816     49,341,159     10,835,140     60,176,299


                                                         The accompanying notes from (1) to (16) form an integral part of the interim consolidated financial information.













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