FINANCIAL HIGHLIGHTS 財務摘要

Investor Relations 投資者關係 > Financial Highlights 財務摘要

Five-Year Financial Summary 五年財務摘要

2014
HK$'000
二零一四年
港幣千元
2015
HK$'000
二零一五年
港幣千元
2016
HK$'000
二零一六年
港幣千元
2017
HK$'000
二零一七年
港幣千元
2018
HK$'000
二零一八年
港幣千元
Total assets (HK$'000) 總資產(港幣千元)
14,654,676 12,909,389 13,721,239 14,535,135 14,513,521
Total liabilities (HK$'000) 總負債(港幣千元)
3,617,900 1,965,058 2,798,303 2,696,260 2,116,453
Total net assets (HK$'000) 資產淨值總額(港幣千元)
11,036,776 10,944,331 10,922,936 11,838,875 12,397,068
Net assets value per share 每股資產淨值
HK$29.15 HK$28.91 HK$28.85 HK$31.27 HK$32.75
Profit for the year attributable to owners of the Company (HK$'000) 分配於本公司股東之本年度溢利(港幣千元)
2,356,935 410,366 457,907 744,888 1,014,267
Basic earnings per share 每股基本盈利
HK$6.23 HK$1.08 HK$1.21 HK$1.97 HK$2.68
Dividend per share 每股股息
HK$0.40 HK$0.42 HK$0.47 HK$0.60 HK$0.70
Dividend payout ratio (from continuing operations only) 派息比率(只計來自持續經營)
38% 39% 39% 30% 26%
Note 1: 附註一: Dividend per share in 2014 did not include special cash dividend of HK$2.80 per share due to the completion of Partial Offer (the meaning ascribed thereto in the Company's circular to shareholders dated 4 December 2013) for disposal of Chong Hing Bank Limited shares ("CHB Shares") and the special dividend by way of distribution in specie to the shareholders of the Company in the proportion of 1 share in the issued share capital of Chong Hing Bank Limited ("CHB") for every 10 shares in the issued share capital of the Company. 二零一四年度每股股息不包括因完成出售創興銀行有限公司股份(「創興銀行股份」)部分要約(與本公司二零一三年十二月四日致股東通函的定義一致)而派發的特別現金股息每股港幣2.80元,及以實物分派形式按本公司已發行股本每10股分配1股創興銀行有限公司(「創興銀行」)已發行股本而派發之特別股息。
Note 2: 附註二: Dividend payout ratio in 2014, if including the special cash dividend and the special dividend by way of distribution in specie, the ratio should be adjusted to 81%. 如包括特別現金股息及以實物分派之特別股息,二零一四年之派息比率將調整至81%。
Note 3: 附註三: Profit for the year attributable to owners of the Company of HK$2,356.9 million recorded in 2014, including the profit from discontinued operations of HK$1,963.3 million. 二零一四年分配於本公司股東之本年度溢利港幣2,356,900,000元,包括來自已終止經營溢利港幣1,963,300,000元。

Five-Year Financial Highlights Charts 五年財務摘要圖表

Total Assets
(HK$ in Billion)
總資產
(港幣十億元)
Total Liabilities
(HK$ in Billion)
總負債
(港幣十億元)
Total Net Assets
(HK$ in Billion)
資產淨值總額
(港幣十億元)
Total Assets
(HK$ in Billion)
總資產
(港幣十億元)


Total Liabilities
(HK$ in Billion)
總負債
(港幣十億元)


Total Net Assets
(HK$ in Billion)
資產淨值總額
(港幣十億元)



Profit for the Year Attributable to Owners of the Company
(HK$ in Billion)
分配於本公司股東之本年度溢利
(港幣十億元)
Basic Earnings per Share
(HK$ in Billion)
每股基本盈利
(港幣十億元)
Dividend per Share
(HK$ in Billion)
每股股息
(港幣十億元)
Profit for the Year Attributable to Owners of the Company
(HK$ in Billion)
分配於本公司股東之本年度溢利
(港幣十億元)
Basic Earnings per Share
(HK$ in Billion)
每股基本盈利
(港幣十億元)
Dividend per Share
(HK$ in Billion)
每股股息
(港幣十億元)

Market Price Movement & Market Capitalization Chart 市價走勢及市值圖表

Last Trading Date
of Each Month
每月最後交易日
Closing Price per Share
(HK$)
收市價(港幣)
Marketing Capitalization
(HK$ in million)
市值(港幣百萬元)
27/01/2017
10.76
4,074
28/02/2017
11.18
4,233
31/03/2017
11.10
4,202
28/04/2017
12.28
4,649
31/05/2017
12.08
4,573
30/06/2017
12.02
4,551
31/07/2017
12.92
4,891
31/08/2017
12.78
4,838
29/09/2017
13.08
4,852
31/10/2017
13.40
5,073
30/11/2017
13.52
5,118
29/12/2017
13.50
5,111
31/01/2018
13.40
5,073
28/2/2018
12.88
4,876
29/3/2018
12.68
4,800
30/4/2018
12.66
4,793
31/5/2018
12.60
4,770
29/6/2018
12.40
4,694
31/7/2018
12.40
4,694
31/8/2018
11.88
4,498
28/9/2018
11.90
4,505
31/10/2018
11.32
4,286
30/11/2018
11.74
4,445
31/12/2018
12.16
4,604
Note: Closing price (HK$) are extracted from the web site of the Hong Kong Stock Exchange Limited. (Stock code: 00194) 附註:港元收市價乃摘自香港聯合交易所有限公司網站。(股份代號:00194)
Closing Price per Share
March 2017 to December 2018
(HK$)
每股收市價
二零一七年三月至二零一八年十二月
(港幣)



Market Capitalization
March 2017 to December 2018
(HK$ in Million)
市值
二零一七年三月至二零一八年十二月
(港幣百萬元)