Financial Summary
(Expressed in Hong Kong dollars)
1994
1993
1992
1991
1990
$000's
$000's
$000's
$000's
$000's
CONSOLIDATED PROFIT AND LOSS ACCOUNT
Turnover
761,140
814,543
792,403
695,626 617,668
Profit before exceptional item
90,434
91,351
124,018
72,889
96,264
Exceptional item
177,374
(11,988)
(60,700)
Profit before taxation
267,808
91,351
112,030
72,889
35,564
Taxation
(9,730)
(22,235)
(19,715)
(9,883)
(13,953)
Profit after taxation
258,078
69,116
92,315
63,006
21,611
Transfer from/(to) development fund
13,040
(13,040)
4,862
49,828
Profit before extraordinary items
258,078
82,156
79,275
67,868
71,439
Extraordinary items
575,047
5,097
Profit attributable to the group
258,078
82,156
654,322
72,965
71,439
CONSOLIDATED BALANCE SHEET
Fixed assets
408,980
320,172
302,709 298,626
277,344
Interest in associated companies
588,053
402,945
402,945
Investments
31
Net current assets
951,507
31 833,636
31 804,465
31 309,761
31 274,327
1,948,571
1,556,784
1,510,150
608,418
551,702
Employment of funds
Representing:-
Share capital
92,537
92,537
92,537
92,537
92,537
Reserves
967,577
702,764
708,856
248,258
210,824
Shareholders' funds
1,060,114
795,301
801,393
340,795
303,361
Deferred profits
560,737
383,364
383,364
Development fund
13,040
4,862
Deferred liabilities
101,361
176,119
152,353
126,823
113,179
Contingency reserves
226,359
202,000
160,000 140,800
130,300
Funds employed
1,948,571
1,556,784
1,510,150
608,418
551,702
Earnings per share
$5.58
$1.78
$1.71
$1.47
$1.54
Dividend per share
$1.75
$1.91
$4.19
$0.77
$0.77
Note: Group profit before extraordinary items for the year ended 30th June, 1994 comprises the results of certain types of transactions which
were separately stated as extraordinary items in earlier years.
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