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香港數碼港管理有限公司

年報 2013/14

141

Statement of Changes in Equity

權益變動表

For the year ended 31 March 2014

截至

2014

3

31

日止年度

Share

Capital Accumulated

Total

capital

reserve

losses

equity

股本 資本儲備 累計虧損 權益總額

HK$

HK$

HK$

HK$

港元

港元

港元

港元

Balance at 1 April 2012

2012

4

1

日結餘

2 5,261,848,390 (1,663,988,204) 3,597,860,188

Changes in equity for the year:

年內權益變動:

Transfer from development maintenance

由發展維修基金轉撥至

fund to capital reserve (note 19)

資本儲備(附註

19

– 12,895,051

– 12,895,051

Loss and total comprehensive income

年內虧損及全面收益

for the year

總額

– (134,374,672)

(134,374,672)

1 April 2013

2013

4

1

日結餘

2 5,274,743,441 (1,798,362,876) 3,476,380,567

Changes in equity for the year:

年內權益變動:

Transfer from development maintenance

由發展維修基金轉撥至

fund to capital reserve (note 19)

資本儲備(附註

19

5,406,640

5,406,640

Capital reserve arising on handover of

因移交物業、機器及設備

property, plant and equipment

而產生之資本儲備

2,220,611

2,220,611

Loss and total comprehensive income

年內虧損及全面收益

for the year

總額

– (81,825,225)

(81,825,225)

Balance at 31 March 2014

2014

3

31

日結餘

2 5,282,370,692 (1,880,188,101) 3,402,182,593

Balance at 31 March 2013 and

2013

3

31

日及

The notes on pages 143 to 178 form part of these financial

143

178

頁之附註為本財務報表之組成部分。

statements.