CMB_1998_Copy2 — Page 44

China Motor Bus Annual Reports 中華巴士年報 All

財政撮要

(以港元計算)

1998

$000's

1997

1996

1995

1994

$000's

$000's

$000's

$000's

綜合損益計算表

營業額

未計特殊項目前之盈利

特殊項目

經常性業務盈利

859,817

833,029

773,560

785,433

761,140

211,886

68,238

64,004

122,208

90,434

(98,227) 339,202

189,442

177,374

113,659

應佔聯營公司之盈利/(虧損) 除税前之盈利(附註一)

407,440

73,085 2,778,807

64,004

311,650

267,808

(134)

(193)

186,744 3,186,247

63,870

311,457

267,808

稅項

(9,441)_(464,893)

(1,607)

(14,383)

(9,730)

除稅後之盈利及屬於集團之盈利

177,303 2,721,354

62,263

297,074

258,078

綜合資產負債表

固定資産

559,732

聯營公司投資

1,290,136

投資

41

349,774

3,142,827

41

330,878

310,797

408,980

1,139,337

1,139,471

588,053

流動資產淨值

2,449,231

886,468

運用資金總額

4,299,140

4,379,110

31

681,648

2,151,894

31

31

811,042

2,261,341

951,507

1,948,571

代表:——

股本

公積金

92,537

92,537

3,536,320

3,553,386

92,537

975,881

92,537 1,088,391

92,537

967,577

股東資金

3,628,857

3,645,923

1,068,418

1,180,928 1,060,114

遞延盈利

473,770

485,477

750,179

750,179

560,737

遞延負債

67,621

78,129

72,928

84,888

101,361

或然儲備金

128,892

169,581

260,369

245,346

226,359

動用資金總額

4,299,140

4,379,110

2,151,894

2,261,341

1,948,571

每股盈利

$3.83

$58.82

$1.35

$6.42

$5.58

每股股息

$4.40

$5.81

$3.78

$1.92

$1.75

附註:

截至一九九五年,一九九六年,一九九七年及一九九八年六月三十日止除稅前之集團盈利包括本集團 應佔聯營公司之業績,該等數字在過往年度並未提供。

三十二

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