REG - Pennon Group PLC - Pennon Group Half Year Results 2017/18 <Origin Href="QuoteRef">PNN.L</Origin> - Part 9
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20.5 -
378.7 286.5
Other non-current liabilities
Deferred income 115.2 114.5
Other payables 21.8 66.2
137.0 180.7
During the period £44.3m of other payables due to Nomura Structured Holdings plc moved from non-current to current.
PENNON GROUP PLC
Notes to the condensed half year financial
information (continued)
19. Contingent liabilities
Unaudited
Half year ended30 September 2017 Year ended 31 March 2017
£m £m
Performance bonds 188.0 187.5
Guarantees in respect of performance bonds are entered into in the normal course of business. No liability is expected to arise in respect of the guarantees. Other contractual and litigation uncertainties The Group establishes provisions in connection with contracts and litigation where it has a present legal or constructive obligation as a result of past events and where it is more likely than not an outflow of resources will be required to settle the obligation and the amount can be reliably estimated. The Group is subject to litigation from time to time as a result of its activities, including a prosecution from the Health and Safety Executive in relation to the fatality of a Viridor employee at Derriford, Plymouth in 2015.
20. Related party transactions
The Group's significant related parties during the period were its joint ventures in Lakeside Energy from Waste Holdings Limited and Viridor Laing (Greater Manchester) Holdings Limited and its associate INEOS Runcorn (TPS) Holdings Limited, for which disclosures were made in the Pennon Group plc Annual Report and Accounts for the year ended 31 March 2017. On 29 September 2017 ownership of Viridor Laing (Greater Manchester) Limited was transferred to the Greater Manchester Disposal Authority. In the period 1 April 2017 to the Greater Manchester contract reset on 29 September, related party transactions were consistent with those described at the year end. Following contract reset on 29 September there were additional transactions as detailed in note 5. On 1 April 2017 Pennon Water Services Limited (PWS), a wholly owned subsidiary of Pennon Group plc (Pennon) at the start of the period, purchased assets, primarily trade receivables, from South West Water Limited (SWW) and South Staffordshire plc (SS). The amount paid to SS during the period for such assets was £7.0m. The initial consideration was financed through the issuance of new equity share capital in PWS to Pennon and SS of £2.8m and £0.7m respectively and the issuance of loans from Pennon and SS to PWS of £25.4m and £6.3m respectively. As a result Pennon now holds a majority 80% equity share in PWS, with SS holding the remaining 20% non-controlling interest.
There were no other material changes during the half year to September 2017 in the nature of transactions with these related parties.
Pennon Group plc
Registered Office :
Registered in England
No 2366640
Peninsula House
Rydon Lane
Exeter
EX2 7HR
pennon-group.co.uk
FOOTNOTES 1 Before non-underlying items.
Underlying earnings are presented to provide a
more useful comparison of business trends and
performance2 Underlying EBITDA plus share of
Joint Venture EBITDA and IFRIC 12 interest
receivable3 Non-underlying items are adjusted
for by virtue of their size, nature or
incidence to enable a full understanding of
the Group's financial performance4 Before
deferred tax and non-underlying items and
proportionately adjusted for the first return
due on the 2017 perpetual capital securities
(hybrid) in H1 2017/18 and the periodic return
due March 2017 in H1 2016/175 The RPI rate
used is 3.9% as of September 20176 Including
100% of joint ventures, excluding Bolton ERF
availability due to fire7 See page 208 South
West Water has 26 and Bournemouth Water 10
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