# & ! " # $ $ % % !"#$ '( & )*+,- $ " % . - * . + & / ' ""01# $($ )*+$ ""01# , - %,$ $$ + $.% +! , $ $$%"$$ ,$ *, (/ % '" ."(0.+$ (2((34( (5,/ /2( (22(54((2( (2 (2 (6+76174((2( 1 %- #"#!1#*.+.+ 2 +$ ( ' 3* 4* +$ ...,-,.+ 54$ +$+ $% 6"#$)$ %7$ +$ 8 # 9* +$ /: ;+<$++$ ' !"#$ $% #&%# =*< %)$$6.+7)*+,- 8. >)+++$)+$%$ 9 1?$ $ =12+ %)$ 5=+ % +$% +%+$ $. + !! :#% .+)+--.%:#% 1#% +*8+- 11+ %$ $.4$%@ &A BAB 12*$ $%$..!% % % MANILA BROADCASTING COMPANY BALANCE SHEETS As of September 30, 2012 and December 31, 2011 2012 Unaudited (9 Months) ASSETS Current Assets Cash and cash equivalents Receivables - net Due from affiliates Materials and supplies - net Prepaid expenses and other current assets Total Current Assets Noncurrent Assets Available-for-sale financial assets Property and equipment At cost At revalued amount Investment Properties Intangible Assets Goodwill Other Non-current Assets Total Noncurrent Assets TOTAL ASSETS 2011 Audited (1 Year) 50,184,492 310,210,853 93,339,816 9,662,140 5,662,547 469,059,848 73,140,156 296,318,715 88,966,242 9,308,734 5,410,742 473,144,589 25,634,635 25,634,635 97,441,231 122,201,600 67,171,515 106,334,945 38,016,206 6,700,009 463,500,141 932,559,990 62,139,150 122,201,600 73,224,113 115,196,192 38,016,206 6,463,547 442,875,443 916,020,032 LIABILITIES & STOCKHOLDERS' EQUITY Current Liabilities Accounts payable & accrued expenses Dividends Payable Talent fees and commissions payable Income tax payable Total Current Liabilities 191,583,064 3,373,995 29,964,869 5,636,749 230,558,677 197,321,811 1,661,994 30,618,538 12,710,746 242,313,089 Non-current Liability Accrued retirement benefits Deferred Income Tax Lialibility Total Noncurrent Liabilities Total Liabilities 43,365,242 3,427,378 46,792,620 277,351,297 48,075,663 3,427,378 51,503,041 293,816,130 Equity Capital Stock Additional paid-in capital Revaluation increment in land Reserve for fluctuation in available-for-sale financial assets Retained earnings Treasury stock Total Equity TOTAL LIABILITIES & EQUITY 402,803,777 79,354 81,154,854 60,000 171,231,495 (120,787) 655,208,693 932,559,990 402,803,777 79,354 81,154,854 60,000 138,226,704 (120,787) 622,203,902 916,020,032 MANILA BROADCASTING COMPANY STATEMENTS OF COMPREHENSIVE INCOME For Nine Months Ended September 30, 2012 and 2011 Tentative and Unaudited 2012 (9 Months) 2011 (9 Months) 2012 (Jul- Sep) 2011 (Jul- Sep) REVENUE 538,094,968 514,352,044 128,788,774 90,520,318 EXPENSES 490,945,268 467,845,857 109,999,610 73,559,610 INCOME BEFORE INCOME TAXES 47,149,701 46,506,187 18,789,165 16,960,708 PROVISION FOR INCOME TAX 14,144,910 13,951,856 5,636,749 5,088,212 NET INCOME 33,004,791 32,554,331 13,152,415 11,872,495 OTHER COMPREHENSIVE INCOME TOTAL COMPREHENSIVE INCOME Weighted Average Number of Shares Outstanding Basic/Diluted Earnings Per Share - - - - 33,004,791 32,554,331 13,152,415 11,872,495 402,682,990 402,682,990 402,682,990 402,682,990 0.08 0.08 0.03 0.03 MANILA BROADCASTING COMPANY STATEMENT OF CASH FLOWS For Nine Months Ended September 30, 2012 and 2011 Tentative and Unaudited CASH FLOWS FROM OPERATING ACTIVITIES Net income Adjustment to reconcile net income to net cash provided by operating activities : Depreciation and amortization Changes in operating assets and liabilities : Decrease (increase) in : Receivables Due from affiliates Materials and supplies Prepaid expenses and other current assets Increase (decrease) in : Accounts Payable and accrued expenses Dividends Payable Due to affiliates Talent fees and commissions payable Income tax payable Net Cash provided by operating activities CASH FLOWS FROM INVESTING ACTIVITIES Net addition to property & equipment, investment properties & intangible assets Other non-current assets Accrued retirement benefits Cash used in investing activities 2012 2011 33,004,791 32,554,331 36,783,842 34,908,590 (13,892,138) (4,373,574) (353,406) (251,805) (13,650,952) (1,108,371) (78,775) (326,664) (5,738,747) 1,712,001 0 (653,669) (7,073,997) 39,163,298 (11,443,915) (104,309) 0 (1,179,526) (18,038,891) 21,531,518 (57,172,078) (236,462) (4,710,421) (62,118,961) (21,316,552) 293,653 (1,606,104) (22,629,003) CASH FLOWS FROM FINANCING ACTIVITIES Net cash provided by (used in) financing activities NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS CASH AND CASH EQUIVALENTS AT BEGINNING OF YEAR CASH AND CASH EQUIVALENTS AT END OF YEAR 0 (22,955,664) 73,140,156 50,184,492 0 (1,097,485) 98,066,938 96,969,453 MANILA BROADCASTING COMPANY STATEMENT OF CHANGES IN STOCKHOLDER'S EQUITY For Nine Months Ended September 30, 2012 and 2011 Bal. at December 31, 2011 Capital Stock 402,803,777 Add'l Paid-in Capital 79,354 Revaluation Increment in Land 81,154,854 Reserve for Fluctuation in Available for-sale Financial Assets 60,000 Net Income Jan.-Sep. 2012 Bal. at Sep. 30, 2012 402,803,777 79,354 81,154,854 60,000 33,004,791 33,004,791 171,231,495 (120,787) 655,208,693 Bal. at December 31, 2010 402,803,777 79,354 81,154,854 40,000 198,167,753 (120,787) 682,124,951 81,154,854 32,554,331 32,554,331 (120,804,842) (120,804,842) 40,000 109,917,242 (120,787) 593,874,440 Net Income Jan.-Sep. 2011 Cash Dividend Declared Bal. at Sep. 30, 2011 402,803,777 79,354 Retained Treasury Earnings Stock Total 138,226,704 (120,787) 622,203,902 Trade Others TOTAL 25,572 25,284 288 22,226 21,480 746 17,761 16,260 1,501 46,541 2,991 49,532 188,810 19,943 208,753 28,585 28,229 356 21,719 20,796 923 37,279 35,423 1,856 Age Analysis of Past Due but not Impaired 30-60 days 60-90 days 90-120 days 35,984 229,455 <30 days 33,565 2,419 Age Analysis of Past Due but not Impaired <30 days 30-60 days 60-90 days 90-120 days 213,326 16,129 September 30, 2011 Neither Past Due nor Impaired Trade Others TOTAL September 30, 2012 Neither Past Due nor Impaired MANILA BROADCASTING COMPANY AGING OF ACCOUNTS RECEIVABLE For Nine Months Ended September 30, 2012 and 2011 In Thousands of Pesos 36,335 Past due and Impaired 34,031 2,304 37,563 Past due and Impaired 35,700 1,863 (55,191) (51,137) (4,054) Allowance (58,351) (54,412) (3,939) Allowance 302,693 24,319 327,012 Total 291,203 19,008 310,211 Total !" # # # $! % # # %& ' ( ))*+ ),)+ +,# # - 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