Annual Report 2019

CONSOLIDATED STATEMENT OF CHANGES IN EQUITY For the year ended 31 March 2019 ANNUAL REPORT 2019 155 Attributable to owners of the Company Share capital Share premium Capital redemption reserve Assets revaluation reserve FVTOCI reserve Exchange reserve Share options reserve Hedging reserve Other reserve Retained profits Total Non- controlling interests Total HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 At 1 April 2017 223,837 4,033,779 28,458 24,896 – (678,099) 25,454 (137,807) 1,057,764 6,213,520 10,791,802 151,913 10,943,715 Profit for the year – – – – – – – – – 1,566,722 1,566,722 18,676 1,585,398 Gain on revaluation of properties transferred from property, plant and equipment to investment properties – – – 29,831 – – – – – – 29,831 – 29,831 Exchange differences arising on translation of foreign operations – – – – – 649,760 – – – – 649,760 2,481 652,241 Fair value adjustment on cross currency swap contracts designated as cash flows hedge – – – – – – – 115,637 – – 115,637 – 115,637 Other comprehensive income for the year – – – 29,831 – 649,760 – 115,637 – – 795,228 2,481 797,709 Total comprehensive income for the year – – – 29,831 – 649,760 – 115,637 – 1,566,722 2,361,950 21,157 2,383,107 Shares issued in lieu of cash dividend 5,197 211,637 – – – – – – – – 216,834 – 216,834 Shares issued upon exercise of share options 1,145 52,266 – – – – (24,213) – – – 29,198 – 29,198 Dividends recognised as distribution (note 13) – – – – – – – – – (428,972) (428,972) – (428,972) At 31 March 2018 230,179 4,297,682 28,458 54,727 – (28,339) 1,241 (22,170) 1,057,764 7,351,270 12,970,812 173,070 13,143,882 Adjustments (note 2) – – – – – – – – – 85,714 85,714 3,132 88,846

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