Hafnia Tankers Ltd. Interim Report For the Three and Six Months Ended June 30, 2017 and 2016 As of June 30 December 31 Note 2017 2016 (in thousands of U.S. dollars) ASSETS Current assets Cash and cash equivalents 64,873 95,488 Accounts receivable 9,901 9,960 Prepaid expenses and other receivables 7,999 10,605 Inventories 4,854 4,484 Total current assets 87,627 120,537 Non-current assets Vessels and dry dock 4 1,056,445 963,476 Vessels under construction 4 - 42,893 Goodwill 3 6,003 6,003 Time charters acquired 3 - 405 Contract values vessels under construction 3 - 230 Interests in associates 2,183 1,940 Loans receivables 1,850 - Pool working capital deposit 5 29,600 26,000 Deferred tax 74 93...
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