CONSOLIDATED STATEMENT OF CHANGES IN EQUITY
For the year ended 31 December 2014
Balance at 1 January 2013
Changes in equity for 2013:
Profit for the year
Share
Share
Securities
revaluation
Other
capital
Retained
capital
premium
reserve
reserves
profits
Total
Note
HK$'000
(Note 23(b))
HK$'000
(Note 23(c))
HK$'000
HK$'000
HK$'000
HK$'000
(Note 23(c))
(Note 23(c))
Other comprehensive income
Total comprehensive income
Dividends approved in respect of
the previous year
10
Dividends declared in respect of
the current year
10
Balance at 31 December 2013 and
1 January 2014
Changes in equity for 2014:
356,274
1,398,527
163,756
605
3,224,288
5,143,450
(122,452)
293,437
293,437
976
(121,476)
(122,452)
294,413
171,961
(92,631)
(92,631)
(35,627)
(35,627)
356,274 1,398,527
41,304
605
3,390,443
5,187,153
Profit for the year
Other comprehensive income
Total comprehensive income
Dividends approved in respect of
the previous year
10
Dividends declared in respect of
the current year
10
Transition to no-par value regime on
3 March 2014
23(b)
1,398,527 (1,398,527)
Balance at 31 December 2014
1,754,801
The notes on pages 47 to 112 form part of these financial statements.
Hong Kong Ferry (Holdings) Company Limited Annual Report 2014
54,479
1,031,411
1,031,411
(1,107)
53,372
54,479
1,030,304
1,084,783
1
(92,631)
(92,631)
(356,274) (356,274)
95,783
605
3,971,842
5,823,031