1、Redcape Hotel GroupAppendix 4EPreliminary final report1.Company detailsName of entity:Redcape Hotel Groupcomprising Redcape Hotel Trust I(ARSN 629 354 614)and Redcape Hotel Trust II(ARSN 629 354 696)Reporting period:For the year ended 30 June 2020Previous period:For the year ended 30 June 20192.Resu
2、lts for announcement to the marketConsolidated 2020Consolidated 2019%$000$000Revenues from ordinary activitiesdown9.1%259,294285,215Profit/(loss)after tax for the year attributable to the stapled securityholdersimproved by327.7%11,227(4,930)20202019CentsCentsBasic earnings per stapled security2.03(0
3、.93)Diluted earnings per stapled security2.03(0.93)DistributionsAmount per stapled securityFranked amount per stapled securityCentsCentsDistribution for the quarter ended 30 September 2019(paid 29 November 2019)2.199-Distribution for the quarter ended 31 December 2019(paid 28 February 2020)2.211-Dis
4、tribution for the quarter ended 30 June 2020(payable 31 August 2020)0.310-CommentsRedcape Hotel Group has adopted AASB 16 Leases for the year ended 30 June 2020 using the modified retrospective approach and as such the comparatives have not been restated.Commentary and analysis of the results can be
5、 found in the ASX released results announcement and presentation.3.Net assets and Net tangible assetsReporting PeriodPrevious PeriodCentsCentsNet assets per stapled security109.09114.09Net tangible assets per stapled security(a)8.276.96(a)Net tangible assets calculation excludes right-of-use assets,
6、lease liabilities,goodwill and licences.No.of stapled securities on issue at 30 June 2020 is 552,195,195(30 June 2019:551,445,932).Redcape Hotel Group Appendix 4E Preliminary final report 4.Loss of control over entities Not applicable.5.Distributions Current period Amount per stapled security Franke